Fondos liquidativos

Fondo: CAIXABANK BOLSA SELECCION EMERGENTES, FI CLASE PREMIUM

Fecha

Valor liquidativo

17/07/2015 13,59019685 euros
16/07/2015 13,50741424 euros
15/07/2015 13,37494018 euros
14/07/2015 13,32957659 euros
13/07/2015 13,32385069 euros
12/07/2015 13,03303097 euros
11/07/2015 13,0333444 euros
10/07/2015 13,03365795 euros
09/07/2015 12,95667115 euros
08/07/2015 12,73038772 euros
07/07/2015 13,19471668 euros
06/07/2015 13,26506687 euros
05/07/2015 13,4746695 euros
04/07/2015 13,47499272 euros
03/07/2015 13,47531587 euros
02/07/2015 13,53858423 euros
01/07/2015 13,53426087 euros
30/06/2015 13,46827059 euros
29/06/2015 13,2508114 euros
28/06/2015 13,55748972 euros
27/06/2015 13,55781481 euros
26/06/2015 13,5581399 euros
25/06/2015 13,61430765 euros
24/06/2015 13,64495452 euros
23/06/2015 13,62096503 euros
22/06/2015 13,34327357 euros
21/06/2015 13,26211542 euros
20/06/2015 13,26243346 euros
19/06/2015 13,2627515 euros
18/06/2015 13,19384757 euros
17/06/2015 13,24230339 euros
16/06/2015 13,19917165 euros
15/06/2015 13,20210626 euros
14/06/2015 13,29483801 euros
13/06/2015 13,29515705 euros
12/06/2015 13,29547616 euros
11/06/2015 13,28948206 euros
10/06/2015 13,21626659 euros
09/06/2015 13,1612066 euros
08/06/2015 13,30547233 euros
07/06/2015 13,4434752 euros
06/06/2015 13,44379775 euros
05/06/2015 13,44412025 euros
04/06/2015 13,32736806 euros
03/06/2015 13,45602523 euros
02/06/2015 13,67902669 euros
01/06/2015 14,01609676 euros
31/05/2015 13,96422535 euros
30/05/2015 13,96455948 euros
29/05/2015 13,9648936 euros