Fondos liquidativos

Fondo: CAIXABANK BOLSA SELECCION ASIA, FI CLASE PREMIUM

Fecha

Valor liquidativo

12/05/2019 13,73279236 euros
11/05/2019 13,73310114 euros
10/05/2019 13,73340992 euros
09/05/2019 13,70318263 euros
08/05/2019 13,98321505 euros
07/05/2019 14,11371309 euros
06/05/2019 14,13262488 euros
05/05/2019 14,46340811 euros
04/05/2019 14,46373855 euros
03/05/2019 14,46406895 euros
02/05/2019 14,45066562 euros
01/05/2019 14,38820931 euros
30/04/2019 14,34844889 euros
29/04/2019 14,42844798 euros
28/04/2019 14,36845531 euros
27/04/2019 14,36878369 euros
26/04/2019 14,36911211 euros
25/04/2019 14,37978844 euros
24/04/2019 14,4716154 euros
23/04/2019 14,41070295 euros
22/04/2019 14,40505152 euros
21/04/2019 14,45560446 euros
20/04/2019 14,45593238 euros
19/04/2019 14,4562603 euros
18/04/2019 14,45401132 euros
17/04/2019 14,42019909 euros
16/04/2019 14,41191456 euros
15/04/2019 14,32620049 euros
14/04/2019 14,35446726 euros
13/04/2019 14,35479209 euros
12/04/2019 14,35511693 euros
11/04/2019 14,34423556 euros
10/04/2019 14,41659474 euros
09/04/2019 14,41305836 euros
08/04/2019 14,36329582 euros
07/04/2019 14,40586195 euros
06/04/2019 14,40617887 euros
05/04/2019 14,40649585 euros
04/04/2019 14,36343447 euros
03/04/2019 14,3828201 euros
02/04/2019 14,30288657 euros
01/04/2019 14,24719266 euros
31/03/2019 14,06894503 euros
30/03/2019 14,06926698 euros
29/03/2019 14,069589 euros
28/03/2019 13,90139222 euros
27/03/2019 13,85537858 euros
26/03/2019 13,82620682 euros
25/03/2019 13,70756688 euros
24/03/2019 13,88616044 euros