Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE INSTITUCIONAL PLUS

Fecha

Valor liquidativo

27/10/2014 27,3924721 euros
26/10/2014 27,68218566 euros
25/10/2014 27,68230298 euros
24/10/2014 27,6824203 euros
23/10/2014 27,80738814 euros
22/10/2014 27,47902657 euros
21/10/2014 27,3255701 euros
20/10/2014 26,74090467 euros
19/10/2014 27,03231136 euros
18/10/2014 27,03242647 euros
17/10/2014 27,03254159 euros
16/10/2014 26,23818621 euros
15/10/2014 26,39826674 euros
14/10/2014 27,39035658 euros
13/10/2014 27,36347825 euros
12/10/2014 27,29268154 euros
11/10/2014 27,29279776 euros
10/10/2014 27,29291398 euros
09/10/2014 27,75857725 euros
08/10/2014 27,85793798 euros
07/10/2014 28,11873774 euros
06/10/2014 28,63295933 euros
05/10/2014 28,591357 euros
04/10/2014 28,59147801 euros
03/10/2014 28,59159903 euros
02/10/2014 28,34435009 euros
01/10/2014 29,15200064 euros
30/09/2014 29,43635375 euros
29/09/2014 29,07768716 euros
28/09/2014 29,36806707 euros
27/09/2014 29,36819195 euros
26/09/2014 29,36831684 euros
25/09/2014 29,21071694 euros
24/09/2014 29,59232756 euros
23/09/2014 29,24375805 euros
22/09/2014 29,69332764 euros
21/09/2014 29,81339828 euros
20/09/2014 29,81351797 euros
19/09/2014 29,81363766 euros
18/09/2014 29,7905643 euros
17/09/2014 29,49259359 euros
16/09/2014 29,34940763 euros
15/09/2014 29,4405508 euros
14/09/2014 29,4707563 euros
13/09/2014 29,47088034 euros
12/09/2014 29,47100438 euros
11/09/2014 29,49447131 euros
10/09/2014 29,55506467 euros
09/09/2014 29,56719379 euros
08/09/2014 29,76949991 euros