Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE INSTITUCIONAL PLUS

Fecha

Valor liquidativo

03/08/2017 34,83869015 euros
02/08/2017 34,75975839 euros
01/08/2017 34,92724051 euros
31/07/2017 34,64882279 euros
30/07/2017 34,82903931 euros
29/07/2017 34,82918039 euros
28/07/2017 34,82932147 euros
27/07/2017 35,08097418 euros
26/07/2017 35,06264314 euros
25/07/2017 34,88986325 euros
24/07/2017 34,68141676 euros
23/07/2017 34,65836141 euros
22/07/2017 34,65850094 euros
21/07/2017 34,65864047 euros
20/07/2017 35,13750016 euros
19/07/2017 35,14490567 euros
18/07/2017 34,93250593 euros
17/07/2017 35,31218557 euros
16/07/2017 35,40574633 euros
15/07/2017 35,40588978 euros
14/07/2017 35,40603323 euros
13/07/2017 35,42708935 euros
12/07/2017 35,30312323 euros
11/07/2017 34,79043129 euros
10/07/2017 34,92840198 euros
09/07/2017 34,78468251 euros
08/07/2017 34,7848235 euros
07/07/2017 34,78496449 euros
06/07/2017 34,76473607 euros
05/07/2017 34,92962255 euros
04/07/2017 34,92607025 euros
03/07/2017 35,03869503 euros
02/07/2017 34,53782925 euros
01/07/2017 34,53796966 euros
30/06/2017 34,53811006 euros
29/06/2017 34,83254811 euros
28/06/2017 35,47681862 euros
27/06/2017 35,50273333 euros
26/06/2017 35,73668454 euros
25/06/2017 35,5537208 euros
24/06/2017 35,55386346 euros
23/06/2017 35,55400612 euros
22/06/2017 35,67730819 euros
21/06/2017 35,65987079 euros
20/06/2017 35,72415335 euros
19/06/2017 35,91487847 euros
18/06/2017 35,54739176 euros
17/06/2017 35,54753453 euros
16/06/2017 35,5476773 euros
15/06/2017 35,36748465 euros