Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE INSTITUCIONAL PLUS

Fecha

Valor liquidativo

07/09/2014 29,84117104 euros
06/09/2014 29,84129814 euros
05/09/2014 29,84142524 euros
04/09/2014 29,85868224 euros
03/09/2014 29,32568117 euros
02/09/2014 28,97423155 euros
01/09/2014 28,92692744 euros
31/08/2014 28,90212978 euros
30/08/2014 28,90225108 euros
29/08/2014 28,90237237 euros
28/08/2014 28,83054754 euros
27/08/2014 29,10525696 euros
26/08/2014 29,13243225 euros
25/08/2014 28,83878889 euros
24/08/2014 28,23083625 euros
23/08/2014 28,23095579 euros
22/08/2014 28,23107532 euros
21/08/2014 28,46704195 euros
20/08/2014 28,09301962 euros
19/08/2014 28,16408321 euros
18/08/2014 28,00370622 euros
17/08/2014 27,63426344 euros
16/08/2014 27,6343802 euros
15/08/2014 27,63449696 euros
14/08/2014 27,86449349 euros
13/08/2014 27,84705146 euros
12/08/2014 27,55119672 euros
11/08/2014 27,76847896 euros
10/08/2014 27,39620296 euros
09/08/2014 27,3963184 euros
08/08/2014 27,39643384 euros
07/08/2014 27,4519003 euros
06/08/2014 27,79296628 euros
05/08/2014 27,98799215 euros
04/08/2014 27,97412957 euros
03/08/2014 27,99221094 euros
02/08/2014 27,99232799 euros
01/08/2014 27,99244503 euros
31/07/2014 28,38519757 euros
30/07/2014 28,87441342 euros
29/07/2014 29,06625265 euros
28/07/2014 28,89363199 euros
27/07/2014 28,92429162 euros
26/07/2014 28,92441221 euros
25/07/2014 28,92453279 euros
24/07/2014 29,33616158 euros
23/07/2014 29,09010488 euros
22/07/2014 29,05554915 euros
21/07/2014 28,58154333 euros
20/07/2014 28,82563921 euros