Fondos liquidativos

Fondo: CAIXABANK BOLSA SELECCION EUROPA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

24/07/2016 11,10652173 euros
23/07/2016 11,10725203 euros
22/07/2016 11,10798232 euros
21/07/2016 11,10261981 euros
20/07/2016 11,11880045 euros
19/07/2016 11,01211875 euros
18/07/2016 11,06667751 euros
17/07/2016 11,03183175 euros
16/07/2016 11,03255675 euros
15/07/2016 11,03328177 euros
14/07/2016 11,08621718 euros
13/07/2016 11,02718146 euros
12/07/2016 10,99709583 euros
11/07/2016 10,82024201 euros
10/07/2016 10,6484333 euros
09/07/2016 10,64913322 euros
08/07/2016 10,64983316 euros
07/07/2016 10,5502616 euros
06/07/2016 10,41996824 euros
05/07/2016 10,62479248 euros
04/07/2016 10,79064136 euros
03/07/2016 10,86356522 euros
02/07/2016 10,86427873 euros
01/07/2016 10,86499228 euros
30/06/2016 10,75352065 euros
29/06/2016 10,65729287 euros
28/06/2016 10,40410796 euros
27/06/2016 10,20076822 euros
26/06/2016 10,67009084 euros
25/06/2016 10,67079243 euros
24/06/2016 10,67149315 euros
23/06/2016 11,17173808 euros
22/06/2016 11,36586186 euros
21/06/2016 11,30622343 euros
20/06/2016 11,23393394 euros
19/06/2016 10,84032169 euros
18/06/2016 10,84103456 euros
17/06/2016 10,84174718 euros
16/06/2016 10,66676006 euros
15/06/2016 10,77729171 euros
14/06/2016 10,73925875 euros
13/06/2016 10,90955954 euros
12/06/2016 11,13963936 euros
11/06/2016 11,14037178 euros
10/06/2016 11,14110392 euros
09/06/2016 11,40187995 euros
08/06/2016 11,48042732 euros
07/06/2016 11,52775731 euros
06/06/2016 11,40610387 euros
05/06/2016 11,44991849 euros