Fondos liquidativos

Fondo: CAIXABANK BOLSA SELECCION GLOBAL, FI CLASE PREMIUM

Fecha

Valor liquidativo

04/03/2014 8,61568551 euros
03/03/2014 8,48586914 euros
02/03/2014 8,57679853 euros
01/03/2014 8,57699615 euros
28/02/2014 8,57719432 euros
27/02/2014 8,57213069 euros
26/02/2014 8,59165187 euros
25/02/2014 8,55474521 euros
24/02/2014 8,56612058 euros
23/02/2014 8,53127393 euros
22/02/2014 8,53147246 euros
21/02/2014 8,53167097 euros
20/02/2014 8,49606121 euros
19/02/2014 8,49849795 euros
18/02/2014 8,50555672 euros
17/02/2014 8,50077378 euros
16/02/2014 8,48891779 euros
15/02/2014 8,48911533 euros
14/02/2014 8,48931288 euros
13/02/2014 8,43541369 euros
12/02/2014 8,48811258 euros
11/02/2014 8,41003268 euros
10/02/2014 8,3361985 euros
09/02/2014 8,3250672 euros
08/02/2014 8,32526101 euros
07/02/2014 8,32545481 euros
06/02/2014 8,25386615 euros
05/02/2014 8,1800518 euros
04/02/2014 8,18439346 euros
03/02/2014 8,23154307 euros
02/02/2014 8,32123499 euros
01/02/2014 8,32142748 euros
31/01/2014 8,32162209 euros
30/01/2014 8,34615613 euros
29/01/2014 8,28757709 euros
28/01/2014 8,31922114 euros
27/01/2014 8,29071776 euros
26/01/2014 8,37980059 euros
25/01/2014 8,37999296 euros
24/01/2014 8,38018534 euros
23/01/2014 8,52372574 euros
22/01/2014 8,65226729 euros
21/01/2014 8,65298623 euros
20/01/2014 8,64776857 euros
19/01/2014 8,64207531 euros
18/01/2014 8,6422716 euros
17/01/2014 8,64246795 euros
16/01/2014 8,61499393 euros
15/01/2014 8,62475316 euros
14/01/2014 8,52544369 euros