Fondos liquidativos

Fondo: CAIXABANK BOLSA ESPAÑA 150, FI, CLASE ESTANDAR

Fecha

Valor liquidativo

03/06/2017 6,85635035 euros
02/06/2017 6,85680933 euros
01/06/2017 6,84115685 euros
31/05/2017 6,8479119 euros
30/05/2017 6,83733551 euros
29/05/2017 6,84798668 euros
28/05/2017 6,86045814 euros
27/05/2017 6,86091912 euros
26/05/2017 6,8613802 euros
25/05/2017 6,89694944 euros
24/05/2017 6,86779677 euros
23/05/2017 6,88299734 euros
22/05/2017 6,76863691 euros
21/05/2017 6,80466643 euros
20/05/2017 6,80512239 euros
19/05/2017 6,80558012 euros
18/05/2017 6,66713406 euros
17/05/2017 6,75963279 euros
16/05/2017 6,94456421 euros
15/05/2017 6,91950528 euros
14/05/2017 6,86333295 euros
13/05/2017 6,8637917 euros
12/05/2017 6,86425113 euros
11/05/2017 6,83392556 euros
10/05/2017 6,99516028 euros
09/05/2017 7,01842044 euros
08/05/2017 7,05005543 euros
07/05/2017 7,08467525 euros
06/05/2017 7,08514824 euros
05/05/2017 7,08562099 euros
04/05/2017 6,97198949 euros
03/05/2017 6,81105585 euros
02/05/2017 6,79632588 euros
01/05/2017 6,70423549 euros
30/04/2017 6,70468293 euros
29/04/2017 6,70513018 euros
28/04/2017 6,70557756 euros
27/04/2017 6,6661909 euros
26/04/2017 6,71766907 euros
25/04/2017 6,73920167 euros
24/04/2017 6,71753682 euros
23/04/2017 6,37235157 euros
22/04/2017 6,37277672 euros
21/04/2017 6,37320177 euros
20/04/2017 6,36091643 euros
19/04/2017 6,35894442 euros
18/04/2017 6,27704905 euros
17/04/2017 6,32403674 euros
16/04/2017 6,32445722 euros
15/04/2017 6,32487773 euros