Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE INSTITUCIONAL PLUS

Fecha

Valor liquidativo

26/03/2015 33,75155713 euros
25/03/2015 33,89088621 euros
24/03/2015 34,32457142 euros
23/03/2015 34,01497395 euros
22/03/2015 34,2532582 euros
21/03/2015 34,25340149 euros
20/03/2015 34,25354478 euros
19/03/2015 33,73969832 euros
18/03/2015 33,71660668 euros
17/03/2015 33,75142421 euros
16/03/2015 34,07085555 euros
15/03/2015 33,6033551 euros
14/03/2015 33,60349564 euros
13/03/2015 33,60363618 euros
12/03/2015 33,46809759 euros
11/03/2015 33,54401968 euros
10/03/2015 32,79251358 euros
09/03/2015 33,18368934 euros
08/03/2015 33,22372504 euros
07/03/2015 33,22386563 euros
06/03/2015 33,22400622 euros
05/03/2015 33,22730305 euros
04/03/2015 32,90506322 euros
03/03/2015 32,59894704 euros
02/03/2015 32,97963287 euros
01/03/2015 33,04699711 euros
28/02/2015 33,04713249 euros
27/02/2015 33,04726786 euros
26/02/2015 32,83073428 euros
25/02/2015 32,52957014 euros
24/02/2015 32,57896001 euros
23/02/2015 32,32271434 euros
22/02/2015 32,05913818 euros
21/02/2015 32,05927309 euros
20/02/2015 32,059408 euros
19/02/2015 32,0361199 euros
18/02/2015 31,83025887 euros
17/02/2015 31,57899725 euros
16/02/2015 31,53640051 euros
15/02/2015 31,66765285 euros
14/02/2015 31,66778619 euros
13/02/2015 31,66791953 euros
12/02/2015 31,38749085 euros
11/02/2015 30,99028587 euros
10/02/2015 31,07250704 euros
09/02/2015 30,75273175 euros
08/02/2015 31,21185349 euros
07/02/2015 31,21198284 euros
06/02/2015 31,2121122 euros
05/02/2015 31,31238814 euros