Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

16/12/2016 30,33542982 euros
15/12/2016 30,25335097 euros
14/12/2016 29,90290607 euros
13/12/2016 30,13522554 euros
12/12/2016 29,78733284 euros
11/12/2016 29,77466247 euros
10/12/2016 29,77645774 euros
09/12/2016 29,77825289 euros
08/12/2016 29,67204318 euros
07/12/2016 29,26659139 euros
06/12/2016 28,88471329 euros
05/12/2016 28,43789364 euros
04/12/2016 28,08465061 euros
03/12/2016 28,08634989 euros
02/12/2016 28,08804898 euros
01/12/2016 28,23489276 euros
30/11/2016 28,43049612 euros
29/11/2016 28,3082055 euros
28/11/2016 28,10330382 euros
27/11/2016 28,39922359 euros
26/11/2016 28,4009421 euros
25/11/2016 28,40266052 euros
24/11/2016 28,33285708 euros
23/11/2016 28,25690026 euros
22/11/2016 28,3710267 euros
21/11/2016 28,26614018 euros
20/11/2016 28,1564258 euros
19/11/2016 28,15813003 euros
18/11/2016 28,15983419 euros
17/11/2016 28,35539091 euros
16/11/2016 28,21465001 euros
15/11/2016 28,43449203 euros
14/11/2016 28,30926539 euros
13/11/2016 28,21692905 euros
12/11/2016 28,21862995 euros
11/11/2016 28,22033082 euros
10/11/2016 28,37934725 euros
09/11/2016 28,46955401 euros
08/11/2016 28,1667993 euros
07/11/2016 28,03054822 euros
06/11/2016 27,52398526 euros
05/11/2016 27,52564444 euros
04/11/2016 27,52730353 euros
03/11/2016 27,7057831 euros
02/11/2016 27,76988424 euros
01/11/2016 28,16965665 euros
31/10/2016 28,4739155 euros
30/10/2016 28,69449633 euros
29/10/2016 28,69622598 euros
28/10/2016 28,69795552 euros