Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION EUROPA, FI CLASE PLUS

Fecha

Valor liquidativo

12/10/2015 6,58019728 euros
11/10/2015 6,61705758 euros
10/10/2015 6,61735769 euros
09/10/2015 6,61765789 euros
08/10/2015 6,5822233 euros
07/10/2015 6,58102251 euros
06/10/2015 6,55723998 euros
05/10/2015 6,50541718 euros
04/10/2015 6,3050589 euros
03/10/2015 6,30534427 euros
02/10/2015 6,30562964 euros
01/10/2015 6,27063711 euros
30/09/2015 6,30031391 euros
29/09/2015 6,15008044 euros
28/09/2015 6,16306255 euros
27/09/2015 6,32919859 euros
26/09/2015 6,32948474 euros
25/09/2015 6,32977079 euros
24/09/2015 6,16718481 euros
23/09/2015 6,29095492 euros
22/09/2015 6,30267989 euros
21/09/2015 6,54838207 euros
20/09/2015 6,47750747 euros
19/09/2015 6,47779983 euros
18/09/2015 6,47809311 euros
17/09/2015 6,63904608 euros
16/09/2015 6,65025032 euros
15/09/2015 6,57036988 euros
14/09/2015 6,50766146 euros
13/09/2015 6,54773365 euros
12/09/2015 6,54802924 euros
11/09/2015 6,54832484 euros
10/09/2015 6,62026137 euros
09/09/2015 6,72178087 euros
08/09/2015 6,62170741 euros
07/09/2015 6,52785686 euros
06/09/2015 6,49002704 euros
05/09/2015 6,49031999 euros
04/09/2015 6,49061295 euros
03/09/2015 6,6761863 euros
02/09/2015 6,51209613 euros
01/09/2015 6,48432174 euros
31/08/2015 6,68122333 euros
30/08/2015 6,71538699 euros
29/08/2015 6,71569013 euros
28/08/2015 6,71599392 euros
27/08/2015 6,70952329 euros
26/08/2015 6,47428078 euros
25/08/2015 6,58242324 euros
24/08/2015 6,2635598 euros