Fondos liquidativos

Fondo: CAIXABANK SELECCION RETORNO ABSOLUTO, FI CLASE PLUS

Fecha

Valor liquidativo

07/07/2018 6,52618597 euros
06/07/2018 6,52635336 euros
05/07/2018 6,52537172 euros
04/07/2018 6,52914884 euros
03/07/2018 6,53353822 euros
02/07/2018 6,53086395 euros
01/07/2018 6,53359319 euros
30/06/2018 6,53376603 euros
29/06/2018 6,53393377 euros
28/06/2018 6,53197526 euros
27/06/2018 6,53475691 euros
26/06/2018 6,53727967 euros
25/06/2018 6,53947425 euros
24/06/2018 6,54820544 euros
23/06/2018 6,54837367 euros
22/06/2018 6,54854166 euros
21/06/2018 6,54643754 euros
20/06/2018 6,5457843 euros
19/06/2018 6,54565221 euros
18/06/2018 6,55391878 euros
17/06/2018 6,55766664 euros
16/06/2018 6,55783511 euros
15/06/2018 6,5580036 euros
14/06/2018 6,56418843 euros
13/06/2018 6,56236897 euros
12/06/2018 6,5575994 euros
11/06/2018 6,56434977 euros
10/06/2018 6,56495616 euros
09/06/2018 6,56512405 euros
08/06/2018 6,56529202 euros
07/06/2018 6,56831102 euros
06/06/2018 6,56704831 euros
05/06/2018 6,56150096 euros
04/06/2018 6,56140774 euros
03/06/2018 6,5671149 euros
02/06/2018 6,56728284 euros
01/06/2018 6,56745101 euros
31/05/2018 6,56463782 euros
30/05/2018 6,56201035 euros
29/05/2018 6,55708147 euros
28/05/2018 6,564094 euros
27/05/2018 6,56563558 euros
26/05/2018 6,56580316 euros
25/05/2018 6,56597082 euros
24/05/2018 6,56410014 euros
23/05/2018 6,56249831 euros
22/05/2018 6,57185483 euros
21/05/2018 6,57224972 euros
20/05/2018 6,56676167 euros
19/05/2018 6,56693014 euros