Fondos liquidativos

Fondo: CAIXABANK GLB ITER "A" (EUR)

Fecha

Valor liquidativo

04/02/2014 10,0002 euros
03/02/2014 9,9979 euros
02/02/2014 10,0289 euros
01/02/2014 10,0289 euros
31/01/2014 10,0289 euros
30/01/2014 10,0247 euros
29/01/2014 10,0089 euros
28/01/2014 10,0181 euros
27/01/2014 9,9986 euros
26/01/2014 10,0069 euros
25/01/2014 10,0069 euros
24/01/2014 10,0069 euros
23/01/2014 10,0428 euros
22/01/2014 10,0582 euros
21/01/2014 10,0575 euros
20/01/2014 10,0636 euros
19/01/2014 10,0672 euros
18/01/2014 10,0672 euros
17/01/2014 10,0672 euros
16/01/2014 10,0571 euros
15/01/2014 10,0585 euros
14/01/2014 10,0294 euros
13/01/2014 10,0338 euros
12/01/2014 10,0306 euros
11/01/2014 10,0306 euros
10/01/2014 10,0306 euros
09/01/2014 10,0218 euros
08/01/2014 10,0277 euros
07/01/2014 10,0263 euros
06/01/2014 10,0121 euros
05/01/2014 10,0146 euros
04/01/2014 10,0146 euros
03/01/2014 10,0146 euros
02/01/2014 10,0019 euros
01/01/2014 10,002 euros
31/12/2013 10,002 euros
30/12/2013 9,9945 euros
29/12/2013 9,9898 euros
28/12/2013 9,9898 euros
27/12/2013 9,9898 euros
26/12/2013 9,981 euros
25/12/2013 9,981 euros
24/12/2013 9,981 euros
23/12/2013 9,9791 euros
22/12/2013 9,9723 euros
21/12/2013 9,9723 euros
20/12/2013 9,9723 euros
19/12/2013 9,9649 euros
18/12/2013 9,9312 euros
17/12/2013 9,9245 euros