Fondo: CAIXABANK BOLSA SELECCION EMERGENTES, FI CLASE PREMIUM
Fecha |
Valor liquidativo |
---|---|
05/09/2015 | 11,18506392 euros |
04/09/2015 | 11,18533431 euros |
03/09/2015 | 11,35933256 euros |
02/09/2015 | 11,18076757 euros |
01/09/2015 | 11,18309591 euros |
31/08/2015 | 11,44071819 euros |
30/08/2015 | 11,49050401 euros |
29/08/2015 | 11,49078151 euros |
28/08/2015 | 11,49105888 euros |
27/08/2015 | 11,44029754 euros |
26/08/2015 | 10,96407008 euros |
25/08/2015 | 10,9826292 euros |
24/08/2015 | 10,49642266 euros |
23/08/2015 | 11,31355842 euros |
22/08/2015 | 11,31383212 euros |
21/08/2015 | 11,31410575 euros |
20/08/2015 | 11,70875678 euros |
19/08/2015 | 12,01121522 euros |
18/08/2015 | 12,15813693 euros |
17/08/2015 | 12,20810101 euros |
16/08/2015 | 12,25913991 euros |
15/08/2015 | 12,25943525 euros |
14/08/2015 | 12,25973059 euros |
13/08/2015 | 12,24145364 euros |
12/08/2015 | 12,14941467 euros |
11/08/2015 | 12,54459569 euros |
10/08/2015 | 12,75955565 euros |
09/08/2015 | 12,76831782 euros |
08/08/2015 | 12,76862507 euros |
07/08/2015 | 12,76893226 euros |
06/08/2015 | 12,82186919 euros |
05/08/2015 | 12,9585776 euros |
04/08/2015 | 12,80562962 euros |
03/08/2015 | 12,75297212 euros |
02/08/2015 | 12,79998631 euros |
01/08/2015 | 12,80029387 euros |
31/07/2015 | 12,80060156 euros |
30/07/2015 | 12,84585912 euros |
29/07/2015 | 12,78744947 euros |
28/07/2015 | 12,67069754 euros |
27/07/2015 | 12,62070115 euros |
26/07/2015 | 13,02639405 euros |
25/07/2015 | 13,02670679 euros |
24/07/2015 | 13,0270196 euros |
23/07/2015 | 13,23250357 euros |
22/07/2015 | 13,40291216 euros |
21/07/2015 | 13,48200955 euros |
20/07/2015 | 13,52663334 euros |
19/07/2015 | 13,58954298 euros |
18/07/2015 | 13,58986988 euros |