Fondos liquidativos

Fondo: CAIXABANK BOLSA ESPAÑA 150, FI, CLASE ESTANDAR

Fecha

Valor liquidativo

12/09/2016 4,96498629 euros
11/09/2016 5,10173954 euros
10/09/2016 5,10207561 euros
09/09/2016 5,10241133 euros
08/09/2016 5,16607039 euros
07/09/2016 5,08942361 euros
06/09/2016 4,99234765 euros
05/09/2016 5,04053704 euros
04/09/2016 5,00254697 euros
03/09/2016 5,0028765 euros
02/09/2016 5,00320599 euros
01/09/2016 4,87620783 euros
31/08/2016 4,84851849 euros
30/08/2016 4,82074123 euros
29/08/2016 4,75801231 euros
28/08/2016 4,79841695 euros
27/08/2016 4,79873307 euros
26/08/2016 4,79904921 euros
25/08/2016 4,74975901 euros
24/08/2016 4,79291048 euros
23/08/2016 4,73362647 euros
22/08/2016 4,63652972 euros
21/08/2016 4,63076987 euros
20/08/2016 4,63107498 euros
19/08/2016 4,63138013 euros
18/08/2016 4,70732669 euros
17/08/2016 4,66113089 euros
16/08/2016 4,77805309 euros
15/08/2016 4,85587255 euros
14/08/2016 4,85042276 euros
13/08/2016 4,8507423 euros
12/08/2016 4,85106182 euros
11/08/2016 4,84824546 euros
10/08/2016 4,80636114 euros
09/08/2016 4,81074898 euros
08/08/2016 4,72690324 euros
07/08/2016 4,70218879 euros
06/08/2016 4,70249858 euros
05/08/2016 4,70280837 euros
04/08/2016 4,57611482 euros
03/08/2016 4,48105575 euros
02/08/2016 4,49514449 euros
01/08/2016 4,69382485 euros
31/07/2016 4,74448847 euros
30/07/2016 4,744801 euros
29/07/2016 4,74511359 euros
28/07/2016 4,6682692 euros
27/07/2016 4,80706948 euros
26/07/2016 4,71996338 euros
25/07/2016 4,72496263 euros