Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE INSTITUCIONAL PLUS

Fecha

Valor liquidativo

25/12/2014 29,18230976 euros
24/12/2014 29,18243491 euros
23/12/2014 29,24913896 euros
22/12/2014 28,90783707 euros
21/12/2014 28,78182929 euros
20/12/2014 28,78195202 euros
19/12/2014 28,78207475 euros
18/12/2014 28,89424882 euros
17/12/2014 27,97181582 euros
16/12/2014 27,93041548 euros
15/12/2014 27,31681703 euros
14/12/2014 28,06752355 euros
13/12/2014 28,06764274 euros
12/12/2014 28,06776193 euros
11/12/2014 28,91139445 euros
10/12/2014 28,83767395 euros
09/12/2014 28,95012738 euros
08/12/2014 29,72835527 euros
07/12/2014 29,99581415 euros
06/12/2014 29,99594172 euros
05/12/2014 29,99606928 euros
04/12/2014 29,2015673 euros
03/12/2014 29,72051543 euros
02/12/2014 29,63305641 euros
01/12/2014 29,56802981 euros
30/11/2014 29,73177896 euros
29/11/2014 29,73190212 euros
28/11/2014 29,73202528 euros
27/11/2014 29,67876738 euros
26/11/2014 29,50673542 euros
25/11/2014 29,50466623 euros
24/11/2014 29,3769051 euros
23/11/2014 29,21558696 euros
22/11/2014 29,21571056 euros
21/11/2014 29,21583417 euros
20/11/2014 28,3739253 euros
19/11/2014 28,56369166 euros
18/11/2014 28,51963943 euros
17/11/2014 28,19476885 euros
16/11/2014 27,9674124 euros
15/11/2014 27,96753188 euros
14/11/2014 27,96765136 euros
13/11/2014 27,94075236 euros
12/11/2014 27,85282939 euros
11/11/2014 28,36803997 euros
10/11/2014 28,27041501 euros
09/11/2014 27,9998418 euros
08/11/2014 27,99996135 euros
07/11/2014 28,0000809 euros
06/11/2014 28,34030207 euros