Fondos liquidativos

Fons: CAIXABANK BOLSA INDICE ESPAÑA, FI CLASE INSTITUCIONAL PLUS

Data

Valor liquidatiu

25/07/2017 9,07697216 euros
24/07/2017 9,00943095 euros
23/07/2017 8,99328341 euros
22/07/2017 8,99331892 euros
21/07/2017 8,99335443 euros
20/07/2017 9,11190756 euros
19/07/2017 9,13166805 euros
18/07/2017 9,07809736 euros
17/07/2017 9,18750937 euros
16/07/2017 9,19044925 euros
15/07/2017 9,19048652 euros
14/07/2017 9,19052378 euros
13/07/2017 9,19132185 euros
12/07/2017 9,10745772 euros
11/07/2017 9,01087822 euros
10/07/2017 9,06339174 euros
09/07/2017 9,04479523 euros
08/07/2017 9,04483198 euros
07/07/2017 9,04486872 euros
06/07/2017 9,05338423 euros
05/07/2017 9,07513898 euros
04/07/2017 9,09297293 euros
03/07/2017 9,12438491 euros
02/07/2017 8,9825825 euros
01/07/2017 8,982619 euros
30/06/2017 8,9826555 euros
29/06/2017 9,05634866 euros
28/06/2017 9,18669122 euros
27/06/2017 9,13600866 euros
26/06/2017 9,17361617 euros
25/06/2017 9,1167368 euros
24/06/2017 9,11677379 euros
23/06/2017 9,11681078 euros
22/06/2017 9,17806347 euros
21/06/2017 9,20373744 euros
20/06/2017 9,20879161 euros
19/06/2017 9,29629262 euros
18/06/2017 9,21984673 euros
17/06/2017 9,21988409 euros
16/06/2017 9,21992145 euros
15/06/2017 9,16644556 euros
14/06/2017 9,23074154 euros
13/06/2017 9,30372496 euros
12/06/2017 9,27051736 euros
11/06/2017 9,37458234 euros
10/06/2017 9,37462023 euros
09/06/2017 9,37465812 euros
08/06/2017 9,35386439 euros
07/06/2017 9,26402965 euros
06/06/2017 9,29276364 euros