Fondos liquidativos

Fons: CAIXABANK BOLSA INDICE ESPAÑA, FI CLASE INSTITUCIONAL PLUS

Data

Valor liquidatiu

03/07/2016 6,8483336 euros
02/07/2016 6,84835804 euros
01/07/2016 6,84838248 euros
30/06/2016 6,76140862 euros
29/06/2016 6,70580398 euros
28/06/2016 6,47888102 euros
27/06/2016 6,31281536 euros
26/06/2016 6,42163856 euros
25/06/2016 6,42166158 euros
24/06/2016 6,4216846 euros
23/06/2016 7,32600176 euros
22/06/2016 7,17838601 euros
21/06/2016 7,14527026 euros
20/06/2016 7,12494082 euros
19/06/2016 6,88950474 euros
18/06/2016 6,88953332 euros
17/06/2016 6,8895619 euros
16/06/2016 6,75754202 euros
15/06/2016 6,79319027 euros
14/06/2016 6,69014454 euros
13/06/2016 6,83810092 euros
12/06/2016 6,99134921 euros
11/06/2016 6,99137934 euros
10/06/2016 6,99140947 euros
09/06/2016 7,2222359 euros
08/06/2016 7,27206979 euros
07/06/2016 7,32531508 euros
06/06/2016 7,26753249 euros
05/06/2016 7,24881573 euros
04/06/2016 7,24884694 euros
03/06/2016 7,24887815 euros
02/06/2016 7,38091873 euros
01/06/2016 7,34458307 euros
31/05/2016 7,44181974 euros
30/05/2016 7,51089388 euros
29/05/2016 7,50246866 euros
28/05/2016 7,50250093 euros
27/05/2016 7,5025332 euros
26/05/2016 7,47295253 euros
25/05/2016 7,51181578 euros
24/05/2016 7,34219185 euros
23/05/2016 7,1744388 euros
22/05/2016 7,21973923 euros
21/05/2016 7,21977031 euros
20/05/2016 7,21980139 euros
19/05/2016 7,14111417 euros
18/05/2016 7,22337599 euros
17/05/2016 7,15899903 euros
16/05/2016 7,14653351 euros
15/05/2016 7,14669191 euros