Fondos liquidativos

Fondo: CAIXABANK BOLSA ESPAÑA 150, FI, CLASE ESTANDAR

Fecha

Valor liquidativo

08/02/2018 5,90350213 euros
07/02/2018 6,11521053 euros
06/02/2018 5,96901296 euros
05/02/2018 6,20127142 euros
04/02/2018 6,33593652 euros
03/02/2018 6,33635034 euros
02/02/2018 6,33676433 euros
01/02/2018 6,50656828 euros
31/01/2018 6,55717051 euros
30/01/2018 6,5468574 euros
29/01/2018 6,64457824 euros
28/01/2018 6,67689665 euros
27/01/2018 6,67733237 euros
26/01/2018 6,67776812 euros
25/01/2018 6,67861992 euros
24/01/2018 6,65732561 euros
23/01/2018 6,68906088 euros
22/01/2018 6,6637678 euros
21/01/2018 6,56717675 euros
20/01/2018 6,56760371 euros
19/01/2018 6,56803072 euros
18/01/2018 6,5192759 euros
17/01/2018 6,56586297 euros
16/01/2018 6,60714683 euros
15/01/2018 6,56495564 euros
14/01/2018 6,5525896 euros
13/01/2018 6,55301633 euros
12/01/2018 6,55344309 euros
11/01/2018 6,53487931 euros
10/01/2018 6,50883937 euros
09/01/2018 6,5088402 euros
08/01/2018 6,48901084 euros
07/01/2018 6,49068519 euros
06/01/2018 6,49110836 euros
05/01/2018 6,49153154 euros
04/01/2018 6,40638208 euros
03/01/2018 6,22319809 euros
02/01/2018 6,18465872 euros
01/01/2018 6,15863508 euros
31/12/2017 6,15903932 euros
30/12/2017 6,15943972 euros
29/12/2017 6,1598405 euros
28/12/2017 6,20181726 euros
27/12/2017 6,26928343 euros
26/12/2017 6,28392069 euros
25/12/2017 6,28433039 euros
24/12/2017 6,28474012 euros
23/12/2017 6,28515038 euros
22/12/2017 6,28556033 euros
21/12/2017 6,40099043 euros