Fondos liquidativos

Fons: CAIXABANK BOLSA SELECCION EUROPA, FI CLASE ESTANDAR

Data

Valor liquidatiu

05/08/2014 10,84686324 euros
04/08/2014 10,84352202 euros
03/08/2014 10,85723676 euros
02/08/2014 10,85795209 euros
01/08/2014 10,85866746 euros
31/07/2014 10,99338667 euros
30/07/2014 11,13806022 euros
29/07/2014 11,18681481 euros
28/07/2014 11,14846992 euros
27/07/2014 11,20554365 euros
26/07/2014 11,20628199 euros
25/07/2014 11,20702033 euros
24/07/2014 11,24357218 euros
23/07/2014 11,20676234 euros
22/07/2014 11,1703382 euros
21/07/2014 11,05220618 euros
20/07/2014 11,09618685 euros
19/07/2014 11,09691799 euros
18/07/2014 11,09764923 euros
17/07/2014 11,15349316 euros
16/07/2014 11,22608091 euros
15/07/2014 11,10602728 euros
14/07/2014 11,12199804 euros
13/07/2014 11,03743943 euros
12/07/2014 11,03816677 euros
11/07/2014 11,03889419 euros
10/07/2014 11,0041013 euros
09/07/2014 11,13947662 euros
08/07/2014 11,18773197 euros
07/07/2014 11,3340652 euros
06/07/2014 11,42273441 euros
05/07/2014 11,42348648 euros
04/07/2014 11,4242386 euros
03/07/2014 11,42623178 euros
02/07/2014 11,33739413 euros
01/07/2014 11,28875081 euros
30/06/2014 11,2069677 euros
29/06/2014 11,22194901 euros
28/06/2014 11,22268777 euros
27/06/2014 11,22342681 euros
26/06/2014 11,21420395 euros
25/06/2014 11,21979936 euros
24/06/2014 11,31716549 euros
23/06/2014 11,3422515 euros
22/06/2014 11,43506324 euros
21/06/2014 11,43581598 euros
20/06/2014 11,43656914 euros
19/06/2014 11,45114935 euros
18/06/2014 11,38033597 euros
17/06/2014 11,36143754 euros