Fondos liquidativos

Fons: CAIXABANK SELECCION RETORNO ABSOLUTO, FI CLASE PLUS

Data

Valor liquidatiu

25/03/2017 6,50739821 euros
24/03/2017 6,50757885 euros
23/03/2017 6,50655431 euros
22/03/2017 6,49826467 euros
21/03/2017 6,50594785 euros
20/03/2017 6,51383686 euros
19/03/2017 6,51364975 euros
18/03/2017 6,51382978 euros
17/03/2017 6,51400981 euros
16/03/2017 6,51628798 euros
15/03/2017 6,51391864 euros
14/03/2017 6,51503574 euros
13/03/2017 6,5145279 euros
12/03/2017 6,51427135 euros
11/03/2017 6,51445183 euros
10/03/2017 6,51463222 euros
09/03/2017 6,51289048 euros
08/03/2017 6,51442218 euros
07/03/2017 6,51693156 euros
06/03/2017 6,52083375 euros
05/03/2017 6,5214272 euros
04/03/2017 6,52160788 euros
03/03/2017 6,52178845 euros
02/03/2017 6,52223472 euros
01/03/2017 6,51593522 euros
28/02/2017 6,50229166 euros
27/02/2017 6,50321623 euros
26/02/2017 6,50549707 euros
25/02/2017 6,50567722 euros
24/02/2017 6,50585731 euros
23/02/2017 6,5143737 euros
22/02/2017 6,51539676 euros
21/02/2017 6,51473147 euros
20/02/2017 6,51119346 euros
19/02/2017 6,51051943 euros
18/02/2017 6,51069996 euros
17/02/2017 6,51088043 euros
16/02/2017 6,51657575 euros
15/02/2017 6,51832328 euros
14/02/2017 6,51543274 euros
13/02/2017 6,51318156 euros
12/02/2017 6,50634908 euros
11/02/2017 6,50652965 euros
10/02/2017 6,50671017 euros
09/02/2017 6,49977094 euros
08/02/2017 6,5026113 euros
07/02/2017 6,50511895 euros
06/02/2017 6,50305995 euros
05/02/2017 6,50716211 euros
04/02/2017 6,50734258 euros