Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE EXTRA
Fecha |
Valor liquidativo |
---|---|
24/07/2016 | 7,63937708 euros |
23/07/2016 | 7,63963028 euros |
22/07/2016 | 7,6398835 euros |
21/07/2016 | 7,60827397 euros |
20/07/2016 | 7,60664548 euros |
19/07/2016 | 7,50823619 euros |
18/07/2016 | 7,53002874 euros |
17/07/2016 | 7,54078181 euros |
16/07/2016 | 7,54103056 euros |
15/07/2016 | 7,54127931 euros |
14/07/2016 | 7,57738864 euros |
13/07/2016 | 7,53383606 euros |
12/07/2016 | 7,55100573 euros |
11/07/2016 | 7,38445472 euros |
10/07/2016 | 7,2626201 euros |
09/07/2016 | 7,26285971 euros |
08/07/2016 | 7,26309933 euros |
07/07/2016 | 7,12561296 euros |
06/07/2016 | 7,05745652 euros |
05/07/2016 | 7,17252344 euros |
04/07/2016 | 7,32121092 euros |
03/07/2016 | 7,3493611 euros |
02/07/2016 | 7,34960282 euros |
01/07/2016 | 7,34984455 euros |
30/06/2016 | 7,24217708 euros |
29/06/2016 | 7,19695412 euros |
28/06/2016 | 6,97311024 euros |
27/06/2016 | 6,80438555 euros |
26/06/2016 | 6,91799282 euros |
25/06/2016 | 6,91822116 euros |
24/06/2016 | 6,91845231 euros |
23/06/2016 | 8,00431393 euros |
22/06/2016 | 7,82767957 euros |
21/06/2016 | 7,79750033 euros |
20/06/2016 | 7,77471013 euros |
19/06/2016 | 7,52215946 euros |
18/06/2016 | 7,5224076 euros |
17/06/2016 | 7,52265575 euros |
16/06/2016 | 7,36417229 euros |
15/06/2016 | 7,4429439 euros |
14/06/2016 | 7,31515625 euros |
13/06/2016 | 7,48690541 euros |
12/06/2016 | 7,66116888 euros |
11/06/2016 | 7,66142161 euros |
10/06/2016 | 7,66167434 euros |
09/06/2016 | 7,92403314 euros |
08/06/2016 | 7,96955223 euros |
07/06/2016 | 8,04508116 euros |
06/06/2016 | 7,96465658 euros |
05/06/2016 | 7,95541218 euros |