Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE INSTITUCIONAL PLUS

Fecha

Valor liquidativo

10/03/2016 28,13103926 euros
09/03/2016 28,55633255 euros
08/03/2016 28,42095201 euros
07/03/2016 28,59942173 euros
06/03/2016 28,75316131 euros
05/03/2016 28,75328378 euros
04/03/2016 28,75340625 euros
03/03/2016 28,51907361 euros
02/03/2016 28,61052998 euros
01/03/2016 28,36648871 euros
29/02/2016 27,88006646 euros
28/02/2016 27,73263626 euros
27/02/2016 27,73275447 euros
26/02/2016 27,73287269 euros
25/02/2016 27,23910587 euros
24/02/2016 26,69496339 euros
23/02/2016 27,33754809 euros
22/02/2016 27,775542 euros
21/02/2016 27,17577074 euros
20/02/2016 27,17588661 euros
19/02/2016 27,17600248 euros
18/02/2016 27,40814386 euros
17/02/2016 27,43968447 euros
16/02/2016 26,71143359 euros
15/02/2016 26,84417752 euros
14/02/2016 26,09193667 euros
13/02/2016 26,092048 euros
12/02/2016 26,09215933 euros
11/02/2016 25,39251726 euros
10/02/2016 26,41607735 euros
09/02/2016 25,92900103 euros
08/02/2016 26,38188741 euros
07/02/2016 27,27077998 euros
06/02/2016 27,27089624 euros
05/02/2016 27,2710125 euros
04/02/2016 27,52092569 euros
03/02/2016 27,42506866 euros
02/02/2016 27,94421137 euros
01/02/2016 28,60145475 euros
31/01/2016 28,79119991 euros
30/01/2016 28,79132272 euros
29/01/2016 28,79144554 euros
28/01/2016 28,17674684 euros
27/01/2016 28,77661719 euros
26/01/2016 28,64748989 euros
25/01/2016 28,35362198 euros
24/01/2016 28,56020942 euros
23/01/2016 28,56033128 euros
22/01/2016 28,56045315 euros
21/01/2016 27,80219008 euros