Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE INSTITUCIONAL PLUS

Fecha

Valor liquidativo

26/03/2019 34,71130602 euros
25/03/2019 34,51316123 euros
24/03/2019 34,56678655 euros
23/03/2019 34,56691523 euros
22/03/2019 34,56704392 euros
21/03/2019 35,21539511 euros
20/03/2019 35,26540762 euros
19/03/2019 35,64641148 euros
18/03/2019 35,40230213 euros
17/03/2019 35,382191 euros
16/03/2019 35,38232269 euros
15/03/2019 35,38245437 euros
14/03/2019 34,92452717 euros
13/03/2019 34,72336747 euros
12/03/2019 34,52168642 euros
11/03/2019 34,52666276 euros
10/03/2019 34,31065939 euros
09/03/2019 34,31078664 euros
08/03/2019 34,3109139 euros
07/03/2019 34,57192634 euros
06/03/2019 34,73229156 euros
05/03/2019 34,75799047 euros
04/03/2019 34,65280126 euros
03/03/2019 34,60206997 euros
02/03/2019 34,60219834 euros
01/03/2019 34,6023267 euros
28/02/2019 34,4581522 euros
27/02/2019 34,29568627 euros
26/02/2019 34,36594369 euros
25/02/2019 34,2681438 euros
24/02/2019 34,16943532 euros
23/02/2019 34,16956215 euros
22/02/2019 34,16968899 euros
21/02/2019 34,09819005 euros
20/02/2019 34,05483445 euros
19/02/2019 33,84521304 euros
18/02/2019 33,90098777 euros
17/02/2019 33,86490823 euros
16/02/2019 33,86503396 euros
15/02/2019 33,8651597 euros
14/02/2019 33,25540329 euros
13/02/2019 33,4526125 euros
12/02/2019 33,3327791 euros
11/02/2019 33,07024414 euros
10/02/2019 32,7580793 euros
09/02/2019 32,75820109 euros
08/02/2019 32,75832289 euros
07/02/2019 32,91760057 euros
06/02/2019 33,56031396 euros
05/02/2019 33,58387292 euros