Fondos liquidativos

Fondo: CAIXABANK BOLSA ESPAÑA 150, FI, CLASE ESTANDAR

Fecha

Valor liquidativo

08/07/2018 6,14321509 euros
07/07/2018 6,14361171 euros
06/07/2018 6,14400832 euros
05/07/2018 6,11089023 euros
04/07/2018 6,01542043 euros
03/07/2018 5,92910603 euros
02/07/2018 5,82149521 euros
01/07/2018 5,88926275 euros
30/06/2018 5,88964688 euros
29/06/2018 5,89003503 euros
28/06/2018 5,84431061 euros
27/06/2018 5,89445111 euros
26/06/2018 5,88081089 euros
25/06/2018 5,8613562 euros
24/06/2018 6,01099908 euros
23/06/2018 6,01139353 euros
22/06/2018 6,01178791 euros
21/06/2018 5,92876411 euros
20/06/2018 6,02057242 euros
19/06/2018 5,98758942 euros
18/06/2018 5,99501813 euros
17/06/2018 6,06446265 euros
16/06/2018 6,06486275 euros
15/06/2018 6,06526339 euros
14/06/2018 6,16069585 euros
13/06/2018 6,10078958 euros
12/06/2018 6,09395223 euros
11/06/2018 6,08401893 euros
10/06/2018 5,94074636 euros
09/06/2018 5,94113758 euros
08/06/2018 5,94152889 euros
07/06/2018 6,01917308 euros
06/06/2018 5,98140539 euros
05/06/2018 5,89136864 euros
04/06/2018 5,94262886 euros
03/06/2018 5,8306908 euros
02/06/2018 5,83107093 euros
01/06/2018 5,83145129 euros
31/05/2018 5,6901636 euros
30/05/2018 5,76909439 euros
29/05/2018 5,7379183 euros
28/05/2018 5,96783374 euros
27/05/2018 6,0157544 euros
26/05/2018 6,01614854 euros
25/05/2018 6,01654179 euros
24/05/2018 6,18061506 euros
23/05/2018 6,20599874 euros
22/05/2018 6,31698365 euros
21/05/2018 6,24171293 euros
20/05/2018 6,28906084 euros