Fondos liquidativos

Fondo: CAIXABANK BOLSA SELECCION GLOBAL, FI CLASE ESTANDAR

Fecha

Valor liquidativo

14/05/2017 11,298074 euros
13/05/2017 11,29881245 euros
12/05/2017 11,29955096 euros
11/05/2017 11,35396195 euros
10/05/2017 11,37538212 euros
09/05/2017 11,35137434 euros
08/05/2017 11,29869513 euros
07/05/2017 11,2336453 euros
06/05/2017 11,23437969 euros
05/05/2017 11,23511422 euros
04/05/2017 11,19498792 euros
03/05/2017 11,23501323 euros
02/05/2017 11,23499372 euros
01/05/2017 11,22503873 euros
30/04/2017 11,22876226 euros
29/04/2017 11,22949125 euros
28/04/2017 11,23022031 euros
27/04/2017 11,25879885 euros
26/04/2017 11,23624754 euros
25/04/2017 11,2200962 euros
24/04/2017 11,20170929 euros
23/04/2017 11,17206863 euros
22/04/2017 11,17278994 euros
21/04/2017 11,17351139 euros
20/04/2017 11,16161723 euros
19/04/2017 11,13110737 euros
18/04/2017 11,12814665 euros
17/04/2017 11,24331603 euros
16/04/2017 11,24642486 euros
15/04/2017 11,2471552 euros
14/04/2017 11,24788558 euros
13/04/2017 11,24927597 euros
12/04/2017 11,25294805 euros
11/04/2017 11,30340795 euros
10/04/2017 11,32136504 euros
09/04/2017 11,30710766 euros
08/04/2017 11,30781788 euros
07/04/2017 11,30852834 euros
06/04/2017 11,27338964 euros
05/04/2017 11,26629799 euros
04/04/2017 11,26807348 euros
03/04/2017 11,27253931 euros
02/04/2017 11,27378473 euros
01/04/2017 11,27451534 euros
31/03/2017 11,27524515 euros
30/03/2017 11,2945732 euros
29/03/2017 11,19559554 euros
28/03/2017 11,12842489 euros
27/03/2017 11,03506267 euros
26/03/2017 11,12006245 euros