Fondos liquidativos

Fondo: CAIXABANK BOLSA SELECCION EMERGENTES, FI CLASE PREMIUM

Fecha

Valor liquidativo

08/03/2017 14,19116065 euros
07/03/2017 14,21403252 euros
06/03/2017 14,18820068 euros
05/03/2017 14,10267073 euros
04/03/2017 14,10301109 euros
03/03/2017 14,10335145 euros
02/03/2017 14,26303755 euros
01/03/2017 14,27291895 euros
28/02/2017 14,14547227 euros
27/02/2017 14,24992191 euros
26/02/2017 14,32725168 euros
25/02/2017 14,32759725 euros
24/02/2017 14,32794269 euros
23/02/2017 14,43949984 euros
22/02/2017 14,42473096 euros
21/02/2017 14,38195639 euros
20/02/2017 14,28489563 euros
19/02/2017 14,20464492 euros
18/02/2017 14,2049822 euros
17/02/2017 14,20531942 euros
16/02/2017 14,22109256 euros
15/02/2017 14,28953498 euros
14/02/2017 14,20288583 euros
13/02/2017 14,18344489 euros
12/02/2017 14,05250476 euros
11/02/2017 14,05283395 euros
10/02/2017 14,05316313 euros
09/02/2017 13,95465344 euros
08/02/2017 13,84495467 euros
07/02/2017 13,82607743 euros
06/02/2017 13,80370571 euros
05/02/2017 13,7425597 euros
04/02/2017 13,74288239 euros
03/02/2017 13,74320508 euros
02/02/2017 13,68732445 euros
01/02/2017 13,62312831 euros
31/01/2017 13,54957412 euros
30/01/2017 13,68956459 euros
29/01/2017 13,74003183 euros
28/01/2017 13,74036146 euros
27/01/2017 13,74069116 euros
26/01/2017 13,75531422 euros
25/01/2017 13,64312306 euros
24/01/2017 13,57940232 euros
23/01/2017 13,45156521 euros
22/01/2017 13,40782559 euros
21/01/2017 13,40814931 euros
20/01/2017 13,40847316 euros
19/01/2017 13,43633005 euros
18/01/2017 13,50881238 euros