Fondos liquidativos

Fondo: CAIXABANK SELECCION RETORNO ABSOLUTO, FI CLASE PLUS

Fecha

Valor liquidativo

09/06/2017 6,56233216 euros
08/06/2017 6,56212445 euros
07/06/2017 6,55692674 euros
06/06/2017 6,55181066 euros
05/06/2017 6,55308201 euros
04/06/2017 6,55357752 euros
03/06/2017 6,55375874 euros
02/06/2017 6,55393983 euros
01/06/2017 6,54922592 euros
31/05/2017 6,54428223 euros
30/05/2017 6,5388771 euros
29/05/2017 6,53992099 euros
28/05/2017 6,54078096 euros
27/05/2017 6,54096183 euros
26/05/2017 6,54114236 euros
25/05/2017 6,53892718 euros
24/05/2017 6,53134032 euros
23/05/2017 6,52640099 euros
22/05/2017 6,52248599 euros
21/05/2017 6,51995724 euros
20/05/2017 6,52013809 euros
19/05/2017 6,52031882 euros
18/05/2017 6,51167439 euros
17/05/2017 6,53421687 euros
16/05/2017 6,53873624 euros
15/05/2017 6,53302297 euros
14/05/2017 6,53023864 euros
13/05/2017 6,53041929 euros
12/05/2017 6,53059984 euros
11/05/2017 6,53069964 euros
10/05/2017 6,52692802 euros
09/05/2017 6,52482237 euros
08/05/2017 6,52293599 euros
07/05/2017 6,52407647 euros
06/05/2017 6,52425774 euros
05/05/2017 6,52443893 euros
04/05/2017 6,5256451 euros
03/05/2017 6,52230663 euros
02/05/2017 6,5249163 euros
01/05/2017 6,51482196 euros
30/04/2017 6,51382557 euros
29/04/2017 6,51400539 euros
28/04/2017 6,51418507 euros
27/04/2017 6,51388943 euros
26/04/2017 6,5120388 euros
25/04/2017 6,50882752 euros
24/04/2017 6,50022705 euros
23/04/2017 6,48851288 euros
22/04/2017 6,48869288 euros
21/04/2017 6,48887284 euros