Fondos liquidativos

Fondo: CAIXABANK SELECCION RETORNO ABSOLUTO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

16/06/2019 5,9302302 euros
15/06/2019 5,9304013 euros
14/06/2019 5,93057237 euros
13/06/2019 5,92594846 euros
12/06/2019 5,9264724 euros
11/06/2019 5,92734626 euros
10/06/2019 5,92692876 euros
09/06/2019 5,92168422 euros
08/06/2019 5,92185239 euros
07/06/2019 5,92202048 euros
06/06/2019 5,91307672 euros
05/06/2019 5,91726584 euros
04/06/2019 5,91454015 euros
03/06/2019 5,91516426 euros
02/06/2019 5,91789152 euros
01/06/2019 5,91806118 euros
31/05/2019 5,91823041 euros
30/05/2019 5,91996565 euros
29/05/2019 5,91547602 euros
28/05/2019 5,91639727 euros
27/05/2019 5,91608642 euros
26/05/2019 5,91376211 euros
25/05/2019 5,91393172 euros
24/05/2019 5,91407736 euros
23/05/2019 5,9142167 euros
22/05/2019 5,921827 euros
21/05/2019 5,9173121 euros
20/05/2019 5,9130634 euros
19/05/2019 5,91615638 euros
18/05/2019 5,91632594 euros
17/05/2019 5,91648297 euros
16/05/2019 5,91929541 euros
15/05/2019 5,91049943 euros
14/05/2019 5,90502872 euros
13/05/2019 5,89697277 euros
12/05/2019 5,89952317 euros
11/05/2019 5,89969287 euros
10/05/2019 5,89985198 euros
09/05/2019 5,89672696 euros
08/05/2019 5,9023105 euros
07/05/2019 5,903479 euros
06/05/2019 5,91160307 euros
05/05/2019 5,91873152 euros
04/05/2019 5,91890173 euros
03/05/2019 5,91906625 euros
02/05/2019 5,91818245 euros
01/05/2019 5,91532252 euros
30/04/2019 5,9173032 euros
29/04/2019 5,92228139 euros
28/04/2019 5,91973736 euros