Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION EUROPA, FI CLASE PLUS

Fecha

Valor liquidativo

30/03/2018 7,0746812 euros
29/03/2018 7,0750066 euros
28/03/2018 7,00165368 euros
27/03/2018 6,94980217 euros
26/03/2018 6,88675297 euros
25/03/2018 6,91938999 euros
24/03/2018 6,919708 euros
23/03/2018 6,92002617 euros
22/03/2018 6,97421764 euros
21/03/2018 7,09124862 euros
20/03/2018 7,07628422 euros
19/03/2018 7,03976505 euros
18/03/2018 7,10622865 euros
17/03/2018 7,10655502 euros
16/03/2018 7,10688141 euros
15/03/2018 7,07656024 euros
14/03/2018 7,03384467 euros
13/03/2018 7,02982024 euros
12/03/2018 7,09079828 euros
11/03/2018 7,07770022 euros
10/03/2018 7,07802477 euros
09/03/2018 7,07834934 euros
08/03/2018 7,06268995 euros
07/03/2018 7,00932236 euros
06/03/2018 6,98700715 euros
05/03/2018 6,96052374 euros
04/03/2018 6,93632765 euros
03/03/2018 6,93664742 euros
02/03/2018 6,93696721 euros
01/03/2018 7,08044989 euros
28/02/2018 7,14110508 euros
27/02/2018 7,15007536 euros
26/02/2018 7,13387099 euros
25/02/2018 7,09507724 euros
24/02/2018 7,0954025 euros
23/02/2018 7,09572776 euros
22/02/2018 7,08679406 euros
21/02/2018 7,08499599 euros
20/02/2018 7,09333011 euros
19/02/2018 7,05240066 euros
18/02/2018 7,07586924 euros
17/02/2018 7,07619537 euros
16/02/2018 7,07652152 euros
15/02/2018 7,00542824 euros
14/02/2018 6,97267147 euros
13/02/2018 6,91487585 euros
12/02/2018 6,95812815 euros
11/02/2018 6,85324159 euros
10/02/2018 6,85355668 euros
09/02/2018 6,85387172 euros