Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE EXTRA
Fecha |
Valor liquidativo |
---|---|
31/03/2017 | 9,63939609 euros |
30/03/2017 | 9,61525632 euros |
29/03/2017 | 9,55932047 euros |
28/03/2017 | 9,5717296 euros |
27/03/2017 | 9,46947967 euros |
26/03/2017 | 9,50306228 euros |
25/03/2017 | 9,50337743 euros |
24/03/2017 | 9,50369259 euros |
23/03/2017 | 9,50867901 euros |
22/03/2017 | 9,41756378 euros |
21/03/2017 | 9,40043544 euros |
20/03/2017 | 9,42947215 euros |
19/03/2017 | 9,44737858 euros |
18/03/2017 | 9,4476919 euros |
17/03/2017 | 9,44800524 euros |
16/03/2017 | 9,37234389 euros |
15/03/2017 | 9,17839223 euros |
14/03/2017 | 9,07483413 euros |
13/03/2017 | 9,17736661 euros |
12/03/2017 | 9,19062597 euros |
11/03/2017 | 9,19093005 euros |
10/03/2017 | 9,19123337 euros |
09/03/2017 | 9,15003426 euros |
08/03/2017 | 9,02076249 euros |
07/03/2017 | 8,98803754 euros |
06/03/2017 | 9,02366912 euros |
05/03/2017 | 9,04621125 euros |
04/03/2017 | 9,04651057 euros |
03/03/2017 | 9,04680989 euros |
02/03/2017 | 8,96211086 euros |
01/03/2017 | 8,99583719 euros |
28/02/2017 | 8,80142308 euros |
27/02/2017 | 8,70346289 euros |
26/02/2017 | 8,70419751 euros |
25/02/2017 | 8,70448578 euros |
24/02/2017 | 8,70477407 euros |
23/02/2017 | 8,78246305 euros |
22/02/2017 | 8,80473001 euros |
21/02/2017 | 8,9079614 euros |
20/02/2017 | 8,86349841 euros |
19/02/2017 | 8,8410278 euros |
18/02/2017 | 8,84132146 euros |
17/02/2017 | 8,84161514 euros |
16/02/2017 | 8,91152565 euros |
15/02/2017 | 8,96158885 euros |
14/02/2017 | 8,88604942 euros |
13/02/2017 | 8,84427727 euros |
12/02/2017 | 8,74515416 euros |
11/02/2017 | 8,74544445 euros |
10/02/2017 | 8,74573475 euros |