Fondos liquidativos

Fondo: CAIXABANK BOLSA SELECCION EUROPA, FI CLASE PLUS

Fecha

Valor liquidativo

24/05/2018 13,31052087 euros
23/05/2018 13,3366653 euros
22/05/2018 13,49533766 euros
21/05/2018 13,46693458 euros
20/05/2018 13,42384126 euros
19/05/2018 13,42440498 euros
18/05/2018 13,42496862 euros
17/05/2018 13,40684915 euros
16/05/2018 13,37098874 euros
15/05/2018 13,35628308 euros
14/05/2018 13,3409752 euros
13/05/2018 13,3644209 euros
12/05/2018 13,36498115 euros
11/05/2018 13,36554141 euros
10/05/2018 13,3329778 euros
09/05/2018 13,31515631 euros
08/05/2018 13,23529482 euros
07/05/2018 13,2358425 euros
06/05/2018 13,14417744 euros
05/05/2018 13,14472815 euros
04/05/2018 13,1452784 euros
03/05/2018 13,12712453 euros
02/05/2018 13,17261668 euros
01/05/2018 13,071108 euros
30/04/2018 13,07165595 euros
29/04/2018 13,04630253 euros
28/04/2018 13,04684852 euros
27/04/2018 13,04739399 euros
26/04/2018 12,98060131 euros
25/04/2018 12,88540076 euros
24/04/2018 13,03270541 euros
23/04/2018 13,00147778 euros
22/04/2018 12,97586344 euros
21/04/2018 12,97640554 euros
20/04/2018 12,97694766 euros
19/04/2018 12,97652467 euros
18/04/2018 12,9439021 euros
17/04/2018 12,89149019 euros
16/04/2018 12,82168029 euros
15/04/2018 12,86515469 euros
14/04/2018 12,865692 euros
13/04/2018 12,86622935 euros
12/04/2018 12,80070964 euros
11/04/2018 12,74881767 euros
10/04/2018 12,78105941 euros
09/04/2018 12,67897328 euros
08/04/2018 12,68708619 euros
07/04/2018 12,68762199 euros
06/04/2018 12,68815766 euros
05/04/2018 12,64012062 euros