Fondos liquidativos

Fondo: CAIXABANK BOLSA ESPAÑA 150, FI, CLASE ESTANDAR

Fecha

Valor liquidativo

26/07/2014 6,61040108 euros
25/07/2014 6,61083027 euros
24/07/2014 6,5846732 euros
23/07/2014 6,40306564 euros
22/07/2014 6,40359498 euros
21/07/2014 6,25853277 euros
20/07/2014 6,28842789 euros
19/07/2014 6,28883693 euros
18/07/2014 6,28924603 euros
17/07/2014 6,29855579 euros
16/07/2014 6,41918835 euros
15/07/2014 6,25595263 euros
14/07/2014 6,33056348 euros
13/07/2014 6,26458641 euros
12/07/2014 6,26499172 euros
11/07/2014 6,26539719 euros
10/07/2014 6,26322533 euros
09/07/2014 6,45558814 euros
08/07/2014 6,40179759 euros
07/07/2014 6,57901833 euros
06/07/2014 6,68778637 euros
05/07/2014 6,68822009 euros
04/07/2014 6,68865386 euros
03/07/2014 6,76311095 euros
02/07/2014 6,67222199 euros
01/07/2014 6,65069037 euros
30/06/2014 6,58364266 euros
29/06/2014 6,6060987 euros
28/06/2014 6,60652839 euros
27/06/2014 6,60695846 euros
26/06/2014 6,63282687 euros
25/06/2014 6,62153186 euros
24/06/2014 6,74255917 euros
23/06/2014 6,75734677 euros
22/06/2014 6,7868159 euros
21/06/2014 6,78725735 euros
20/06/2014 6,78769915 euros
19/06/2014 6,81506836 euros
18/06/2014 6,73239994 euros
17/06/2014 6,68469152 euros
16/06/2014 6,65067709 euros
15/06/2014 6,73720682 euros
14/06/2014 6,73764273 euros
13/06/2014 6,73807882 euros
12/06/2014 6,71448952 euros
11/06/2014 6,69981623 euros
10/06/2014 6,76793155 euros
09/06/2014 6,78676642 euros
08/06/2014 6,6932228 euros
07/06/2014 6,69365593 euros