Fondos liquidativos

Fons: CAIXABANK BOLSA INDICE ESPAÑA, FI CLASE INSTITUCIONAL PLUS

Data

Valor liquidatiu

11/03/2019 8,36815192 euros
10/03/2019 8,3292494 euros
09/03/2019 8,32929028 euros
08/03/2019 8,32933115 euros
07/03/2019 8,43794807 euros
06/03/2019 8,48222927 euros
05/03/2019 8,44665293 euros
04/03/2019 8,44850699 euros
03/03/2019 8,45687917 euros
02/03/2019 8,45692075 euros
01/03/2019 8,45696233 euros
28/02/2019 8,4656337 euros
27/02/2019 8,40417024 euros
26/02/2019 8,41915281 euros
25/02/2019 8,39876099 euros
24/02/2019 8,39876174 euros
23/02/2019 8,39880308 euros
22/02/2019 8,39884442 euros
21/02/2019 8,38612091 euros
20/02/2019 8,37737176 euros
19/02/2019 8,33648173 euros
18/02/2019 8,35381721 euros
17/02/2019 8,32529417 euros
16/02/2019 8,32533517 euros
15/02/2019 8,32537617 euros
14/02/2019 8,17149124 euros
13/02/2019 8,19714817 euros
12/02/2019 8,19886443 euros
11/02/2019 8,15513064 euros
10/02/2019 8,08263772 euros
09/02/2019 8,08267777 euros
08/02/2019 8,08271781 euros
07/02/2019 8,15802668 euros
06/02/2019 8,30470337 euros
05/02/2019 8,29619378 euros
04/02/2019 8,18965321 euros
03/02/2019 8,23094299 euros
02/02/2019 8,23098369 euros
01/02/2019 8,23102439 euros
31/01/2019 8,26436659 euros
30/01/2019 8,27692418 euros
29/01/2019 8,30304667 euros
28/01/2019 8,2509626 euros
27/01/2019 8,36230795 euros
26/01/2019 8,36234908 euros
25/01/2019 8,3623902 euros
24/01/2019 8,33099437 euros
23/01/2019 8,31160107 euros
22/01/2019 8,22826797 euros
21/01/2019 8,23983653 euros