Fondos liquidativos

Fondo: CAIXABANK BOLSA SELECCION ASIA, FI CLASE PLUS

Fecha

Valor liquidativo

28/01/2016 8,40642256 euros
27/01/2016 8,42799293 euros
26/01/2016 8,40025014 euros
25/01/2016 8,48723364 euros
24/01/2016 8,43805774 euros
23/01/2016 8,43845387 euros
22/01/2016 8,43885006 euros
21/01/2016 8,16457609 euros
20/01/2016 8,25218971 euros
19/01/2016 8,44707558 euros
18/01/2016 8,34718402 euros
17/01/2016 8,42900815 euros
16/01/2016 8,42940308 euros
15/01/2016 8,42979773 euros
14/01/2016 8,53278851 euros
13/01/2016 8,64096412 euros
12/01/2016 8,56340374 euros
11/01/2016 8,6077418 euros
10/01/2016 8,71779658 euros
09/01/2016 8,71820522 euros
08/01/2016 8,71861393 euros
07/01/2016 8,70791911 euros
06/01/2016 9,05087131 euros
05/01/2016 9,15102045 euros
04/01/2016 9,13366028 euros
03/01/2016 9,33630249 euros
02/01/2016 9,33673822 euros
01/01/2016 9,33717402 euros
31/12/2015 9,33760974 euros
30/12/2015 9,25988532 euros
29/12/2015 9,26906619 euros
28/12/2015 9,23129875 euros
27/12/2015 9,24306796 euros
26/12/2015 9,24350166 euros
25/12/2015 9,24393539 euros
24/12/2015 9,24600975 euros
23/12/2015 9,27962531 euros
22/12/2015 9,2003422 euros
21/12/2015 9,18255853 euros
20/12/2015 9,21033824 euros
19/12/2015 9,21076894 euros
18/12/2015 9,21119972 euros
17/12/2015 9,31184548 euros
16/12/2015 9,14862497 euros
15/12/2015 9,00577453 euros
14/12/2015 8,9149429 euros
13/12/2015 8,97417108 euros
12/12/2015 8,97459105 euros
11/12/2015 8,97501105 euros
10/12/2015 9,12673327 euros