Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE INSTITUCIONAL PLUS

Fecha

Valor liquidativo

07/08/2016 28,97852349 euros
06/08/2016 28,97863129 euros
05/08/2016 28,97873909 euros
04/08/2016 28,56259647 euros
03/08/2016 28,35166099 euros
02/08/2016 28,31414765 euros
01/08/2016 28,90243894 euros
31/07/2016 29,12617697 euros
30/07/2016 29,12628508 euros
29/07/2016 29,12639318 euros
28/07/2016 28,89385474 euros
27/07/2016 29,21214232 euros
26/07/2016 29,00404138 euros
25/07/2016 28,94408137 euros
24/07/2016 28,93573036 euros
23/07/2016 28,93583776 euros
22/07/2016 28,93594517 euros
21/07/2016 28,90348953 euros
20/07/2016 28,88690671 euros
19/07/2016 28,53780066 euros
18/07/2016 28,71583522 euros
17/07/2016 28,80256612 euros
16/07/2016 28,80266958 euros
15/07/2016 28,80277303 euros
14/07/2016 28,85220455 euros
13/07/2016 28,4940829 euros
12/07/2016 28,56079694 euros
11/07/2016 28,09058664 euros
10/07/2016 27,63097442 euros
09/07/2016 27,63107583 euros
08/07/2016 27,63117723 euros
07/07/2016 27,06740165 euros
06/07/2016 26,88427618 euros
05/07/2016 27,37958487 euros
04/07/2016 27,84809209 euros
03/07/2016 28,04154468 euros
02/07/2016 28,04163469 euros
01/07/2016 28,0417247 euros
30/06/2016 27,86447006 euros
29/06/2016 27,54043767 euros
28/06/2016 26,82139407 euros
27/06/2016 26,23325237 euros
26/06/2016 27,00121273 euros
25/06/2016 27,00129876 euros
24/06/2016 27,00143916 euros
23/06/2016 29,54534225 euros
22/06/2016 28,9861859 euros
21/06/2016 28,86681072 euros
20/06/2016 28,61252158 euros
19/06/2016 27,67639304 euros