Fondos liquidativos

Fondo: CAIXABANK GLB ITER "A" (EUR)

Fecha

Valor liquidativo

15/05/2014 10,1395 euros
14/05/2014 10,164 euros
13/05/2014 10,1546 euros
12/05/2014 10,1476 euros
11/05/2014 10,1455 euros
10/05/2014 10,1455 euros
09/05/2014 10,1455 euros
08/05/2014 10,1489 euros
07/05/2014 10,1193 euros
06/05/2014 10,1219 euros
05/05/2014 10,1227 euros
04/05/2014 10,1254 euros
03/05/2014 10,1254 euros
02/05/2014 10,1254 euros
01/05/2014 10,1196 euros
30/04/2014 10,1196 euros
29/04/2014 10,1176 euros
28/04/2014 10,0999 euros
27/04/2014 10,1044 euros
26/04/2014 10,1044 euros
25/04/2014 10,1044 euros
24/04/2014 10,1077 euros
23/04/2014 10,1055 euros
22/04/2014 10,1153 euros
21/04/2014 10,0961 euros
20/04/2014 10,0961 euros
19/04/2014 10,0961 euros
18/04/2014 10,0961 euros
17/04/2014 10,0961 euros
16/04/2014 10,0941 euros
15/04/2014 10,0731 euros
14/04/2014 10,0787 euros
13/04/2014 10,0741 euros
12/04/2014 10,0741 euros
11/04/2014 10,0741 euros
10/04/2014 10,0939 euros
09/04/2014 10,0979 euros
08/04/2014 10,0955 euros
07/04/2014 10,1106 euros
06/04/2014 10,1303 euros
05/04/2014 10,1303 euros
04/04/2014 10,1303 euros
03/04/2014 10,1063 euros
02/04/2014 10,0926 euros
01/04/2014 10,0958 euros
31/03/2014 10,0864 euros
30/03/2014 10,0907 euros
29/03/2014 10,0907 euros
28/03/2014 10,0907 euros
27/03/2014 10,0871 euros