Fondos liquidativos

Fondo: CAIXABANK BOLSA SELECCION GLOBAL, FI CLASE ESTANDAR

Fecha

Valor liquidativo

03/08/2015 10,79580746 euros
02/08/2015 10,75173052 euros
01/08/2015 10,75243135 euros
31/07/2015 10,75313274 euros
30/07/2015 10,80520783 euros
29/07/2015 10,72510046 euros
28/07/2015 10,61465784 euros
27/07/2015 10,51083 euros
26/07/2015 10,7335344 euros
25/07/2015 10,7342341 euros
24/07/2015 10,73493392 euros
23/07/2015 10,82330607 euros
22/07/2015 10,90419884 euros
21/07/2015 10,94842793 euros
20/07/2015 11,0426047 euros
19/07/2015 11,02825716 euros
18/07/2015 11,02897579 euros
17/07/2015 11,0296945 euros
16/07/2015 11,00745026 euros
15/07/2015 10,88441548 euros
14/07/2015 10,82274127 euros
13/07/2015 10,7762194 euros
12/07/2015 10,5601326 euros
11/07/2015 10,56082095 euros
10/07/2015 10,56150936 euros
09/07/2015 10,49226452 euros
08/07/2015 10,38005566 euros
07/07/2015 10,57293159 euros
06/07/2015 10,56606078 euros
05/07/2015 10,61153668 euros
04/07/2015 10,61222815 euros
03/07/2015 10,61291965 euros
02/07/2015 10,65475838 euros
01/07/2015 10,69912851 euros
30/06/2015 10,57619077 euros
29/06/2015 10,58273217 euros
28/06/2015 10,80772817 euros
27/06/2015 10,80843227 euros
26/06/2015 10,80913642 euros
25/06/2015 10,79671916 euros
24/06/2015 10,82036313 euros
23/06/2015 10,84598003 euros
22/06/2015 10,69962073 euros
21/06/2015 10,60167764 euros
20/06/2015 10,6023705 euros
19/06/2015 10,60306383 euros
18/06/2015 10,54309447 euros
17/06/2015 10,57774079 euros
16/06/2015 10,57759514 euros
15/06/2015 10,55121316 euros