Fondos liquidativos

Fondo: CAIXABANK SELECCION RETORNO ABSOLUTO, FI CLASE PLUS

Fecha

Valor liquidativo

02/09/2018 6,49792264 euros
01/09/2018 6,4980903 euros
31/08/2018 6,49825797 euros
30/08/2018 6,49879952 euros
29/08/2018 6,50053427 euros
28/08/2018 6,49686778 euros
27/08/2018 6,5005862 euros
26/08/2018 6,49914413 euros
25/08/2018 6,49931219 euros
24/08/2018 6,49948026 euros
23/08/2018 6,49681601 euros
22/08/2018 6,49477528 euros
21/08/2018 6,49668609 euros
20/08/2018 6,49749554 euros
19/08/2018 6,49274673 euros
18/08/2018 6,49291473 euros
17/08/2018 6,49308271 euros
16/08/2018 6,49414919 euros
15/08/2018 6,49836303 euros
14/08/2018 6,50274133 euros
13/08/2018 6,50105251 euros
12/08/2018 6,50548589 euros
11/08/2018 6,50565445 euros
10/08/2018 6,50582299 euros
09/08/2018 6,50629201 euros
08/08/2018 6,5114379 euros
07/08/2018 6,50878278 euros
06/08/2018 6,50751026 euros
05/08/2018 6,50965129 euros
04/08/2018 6,50981802 euros
03/08/2018 6,50998477 euros
02/08/2018 6,50996437 euros
01/08/2018 6,51624678 euros
31/07/2018 6,51487584 euros
30/07/2018 6,51580783 euros
29/07/2018 6,51801828 euros
28/07/2018 6,51818489 euros
27/07/2018 6,51835155 euros
26/07/2018 6,52216698 euros
25/07/2018 6,52545598 euros
24/07/2018 6,52273849 euros
23/07/2018 6,51861456 euros
22/07/2018 6,52362666 euros
21/07/2018 6,52379338 euros
20/07/2018 6,52396008 euros
19/07/2018 6,52872973 euros
18/07/2018 6,5362788 euros
17/07/2018 6,53116152 euros
16/07/2018 6,5349411 euros
15/07/2018 6,53369615 euros