Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

20/02/2016 26,28000074 euros
19/02/2016 26,28158482 euros
18/02/2016 26,50757071 euros
17/02/2016 26,53956161 euros
16/02/2016 25,8366471 euros
15/02/2016 25,96649801 euros
14/02/2016 25,24026565 euros
13/02/2016 25,24178717 euros
12/02/2016 25,24330852 euros
11/02/2016 24,56780368 euros
10/02/2016 25,55955153 euros
09/02/2016 25,08967349 euros
08/02/2016 25,5293297 euros
07/02/2016 26,39100015 euros
06/02/2016 26,39259093 euros
05/02/2016 26,3941818 euros
04/02/2016 26,63755165 euros
03/02/2016 26,54625832 euros
02/02/2016 27,05028068 euros
01/02/2016 27,68803737 euros
31/01/2016 27,87328403 euros
30/01/2016 27,87496423 euros
29/01/2016 27,87664455 euros
28/01/2016 27,28300502 euros
27/01/2016 27,86540878 euros
26/01/2016 27,74192412 euros
25/01/2016 27,45888355 euros
24/01/2016 27,66050113 euros
23/01/2016 27,66216854 euros
22/01/2016 27,66383605 euros
21/01/2016 26,93088604 euros
20/01/2016 26,36599194 euros
19/01/2016 27,26774026 euros
18/01/2016 26,8582825 euros
17/01/2016 27,00748445 euros
16/01/2016 27,00911252 euros
15/01/2016 27,01074068 euros
14/01/2016 27,67947268 euros
13/01/2016 28,11880205 euros
12/01/2016 28,04683342 euros
11/01/2016 27,69718712 euros
10/01/2016 27,75039704 euros
09/01/2016 27,75206984 euros
08/01/2016 27,75374274 euros
07/01/2016 28,22356073 euros
06/01/2016 28,72591997 euros
05/01/2016 29,07774597 euros
04/01/2016 28,95882522 euros
03/01/2016 29,92025629 euros
02/01/2016 29,92205684 euros