Fondos liquidativos

Fondo: CAIXABANK BOLSA SELECCION EUROPA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

06/12/2017 12,39393735 euros
05/12/2017 12,422593 euros
04/12/2017 12,48085222 euros
03/12/2017 12,38872801 euros
02/12/2017 12,38948553 euros
01/12/2017 12,39024309 euros
30/11/2017 12,50061706 euros
29/11/2017 12,54696766 euros
28/11/2017 12,45173602 euros
27/11/2017 12,43657348 euros
26/11/2017 12,49488269 euros
25/11/2017 12,4956478 euros
24/11/2017 12,49641288 euros
23/11/2017 12,48010014 euros
22/11/2017 12,52185344 euros
21/11/2017 12,52146997 euros
20/11/2017 12,43621578 euros
19/11/2017 12,38749319 euros
18/11/2017 12,38825182 euros
17/11/2017 12,3890105 euros
16/11/2017 12,40655809 euros
15/11/2017 12,28332171 euros
14/11/2017 12,42156402 euros
13/11/2017 12,45378355 euros
12/11/2017 12,56209972 euros
11/11/2017 12,56286765 euros
10/11/2017 12,56363556 euros
09/11/2017 12,60880786 euros
08/11/2017 12,70126994 euros
07/11/2017 12,7867273 euros
06/11/2017 12,79370457 euros
05/11/2017 12,77308693 euros
04/11/2017 12,773864 euros
03/11/2017 12,77464116 euros
02/11/2017 12,77296587 euros
01/11/2017 12,77340579 euros
31/10/2017 12,75281142 euros
30/10/2017 12,7206684 euros
29/10/2017 12,69249195 euros
28/10/2017 12,69326373 euros
27/10/2017 12,69403553 euros
26/10/2017 12,60956793 euros
25/10/2017 12,585241 euros
24/10/2017 12,59595916 euros
23/10/2017 12,63119269 euros
22/10/2017 12,60013202 euros
21/10/2017 12,60089867 euros
20/10/2017 12,60166518 euros
19/10/2017 12,53098832 euros
18/10/2017 12,6371213 euros