Fondos liquidativos

Fons: CAIXABANK BOLSA SELECCION EUROPA, FI CLASE PREMIUM

Data

Valor liquidatiu

22/08/2017 13,20032156 euros
21/08/2017 13,129441 euros
20/08/2017 13,14767435 euros
19/08/2017 13,14798693 euros
18/08/2017 13,14829951 euros
17/08/2017 13,29240834 euros
16/08/2017 13,34995916 euros
15/08/2017 13,30478524 euros
14/08/2017 13,20952264 euros
13/08/2017 13,07987086 euros
12/08/2017 13,08018277 euros
11/08/2017 13,08049269 euros
10/08/2017 13,27028977 euros
09/08/2017 13,34290647 euros
08/08/2017 13,41698583 euros
07/08/2017 13,41274852 euros
06/08/2017 13,36266774 euros
05/08/2017 13,36298551 euros
04/08/2017 13,3633033 euros
03/08/2017 13,31103808 euros
02/08/2017 13,33548134 euros
01/08/2017 13,34223151 euros
31/07/2017 13,31641655 euros
30/07/2017 13,31001296 euros
29/07/2017 13,3103299 euros
28/07/2017 13,31064685 euros
27/07/2017 13,44071149 euros
26/07/2017 13,43978186 euros
25/07/2017 13,38278456 euros
24/07/2017 13,31645288 euros
23/07/2017 13,36120975 euros
22/07/2017 13,36152731 euros
21/07/2017 13,36184489 euros
20/07/2017 13,53116337 euros
19/07/2017 13,49142911 euros
18/07/2017 13,45541767 euros
17/07/2017 13,57694191 euros
16/07/2017 13,56101722 euros
15/07/2017 13,56134108 euros
14/07/2017 13,56166494 euros
13/07/2017 13,56983757 euros
12/07/2017 13,45613999 euros
11/07/2017 13,35038155 euros
10/07/2017 13,38767513 euros
09/07/2017 13,32124274 euros
08/07/2017 13,32155956 euros
07/07/2017 13,3218764 euros
06/07/2017 13,34692077 euros
05/07/2017 13,42873812 euros
04/07/2017 13,43327328 euros