Fondos liquidativos

Fondo: CAIXABANK SELECCION FUTURO SOSTENIBLE, FI CLASE PREMIUM

Fecha

Valor liquidativo

10/11/2013 7,66439085 euros
09/11/2013 7,66452244 euros
08/11/2013 7,66465404 euros
07/11/2013 7,67734294 euros
06/11/2013 7,67088386 euros
05/11/2013 7,66872589 euros
04/11/2013 7,67603359 euros
03/11/2013 7,67743597 euros
02/11/2013 7,67756856 euros
01/11/2013 7,67770116 euros
31/10/2013 7,66817407 euros
30/10/2013 7,6639019 euros
29/10/2013 7,66564649 euros
28/10/2013 7,65822337 euros
27/10/2013 7,64916342 euros
26/10/2013 7,64929526 euros
25/10/2013 7,64942715 euros
24/10/2013 7,64769878 euros
23/10/2013 7,64339148 euros
22/10/2013 7,64054628 euros
21/10/2013 7,62847515 euros
20/10/2013 7,61756257 euros
19/10/2013 7,61769234 euros
18/10/2013 7,61782212 euros
17/10/2013 7,59984239 euros
16/10/2013 7,5885263 euros
15/10/2013 7,57397744 euros
14/10/2013 7,5633546 euros
13/10/2013 7,55800595 euros
12/10/2013 7,55813482 euros
11/10/2013 7,55826368 euros
10/10/2013 7,55621658 euros
09/10/2013 7,54137735 euros
08/10/2013 7,54242412 euros
07/10/2013 7,53964296 euros
06/10/2013 7,53456515 euros
05/10/2013 7,53469401 euros
04/10/2013 7,53482295 euros
03/10/2013 7,52743364 euros
02/10/2013 7,51900772 euros
01/10/2013 7,51544788 euros
30/09/2013 7,50665067 euros
29/09/2013 7,51648221 euros
28/09/2013 7,51661002 euros
27/09/2013 7,51673786 euros
26/09/2013 7,52628541 euros
25/09/2013 7,52260566 euros
24/09/2013 7,52453252 euros
23/09/2013 7,52675633 euros
22/09/2013 7,53176534 euros