Fondos liquidativos

Fondo: CAIXABANK BOLSA SELECCION GLOBAL, FI CLASE ESTANDAR

Fecha

Valor liquidativo

07/10/2014 8,90483228 euros
06/10/2014 9,0332918 euros
05/10/2014 9,02983199 euros
04/10/2014 9,03041978 euros
03/10/2014 9,03100762 euros
02/10/2014 8,91635056 euros
01/10/2014 9,02104791 euros
30/09/2014 9,09702399 euros
29/09/2014 9,06142958 euros
28/09/2014 9,08026712 euros
27/09/2014 9,0808579 euros
26/09/2014 9,08144911 euros
25/09/2014 9,07316864 euros
24/09/2014 9,10899392 euros
23/09/2014 9,05452382 euros
22/09/2014 9,12833844 euros
21/09/2014 9,20499204 euros
20/09/2014 9,20559028 euros
19/09/2014 9,20618892 euros
18/09/2014 9,17344918 euros
17/09/2014 9,11132121 euros
16/09/2014 9,07803995 euros
15/09/2014 9,06252759 euros
14/09/2014 9,0899997 euros
13/09/2014 9,0905906 euros
12/09/2014 9,09118164 euros
11/09/2014 9,1187845 euros
10/09/2014 9,12327058 euros
09/09/2014 9,14762402 euros
08/09/2014 9,18025816 euros
07/09/2014 9,17297783 euros
06/09/2014 9,17357274 euros
05/09/2014 9,17416781 euros
04/09/2014 9,19031847 euros
03/09/2014 9,08391049 euros
02/09/2014 9,04604355 euros
01/09/2014 9,04357767 euros
31/08/2014 9,01292641 euros
30/08/2014 9,01351101 euros
29/08/2014 9,0140957 euros
28/08/2014 8,99268022 euros
27/08/2014 9,01483866 euros
26/08/2014 8,99972776 euros
25/08/2014 8,97431516 euros
24/08/2014 8,90199365 euros
23/08/2014 8,90257203 euros
22/08/2014 8,90315048 euros
21/08/2014 8,88997993 euros
20/08/2014 8,85324369 euros
19/08/2014 8,84343949 euros