
Fondo: CAIXABANK ITER, FI CLASE EXTRA
Fecha |
Valor liquidativo |
---|---|
08/07/2014 | 6,98051496 euros |
07/07/2014 | 6,99645818 euros |
06/07/2014 | 7,0047165 euros |
05/07/2014 | 7,00455364 euros |
04/07/2014 | 7,00439083 euros |
03/07/2014 | 7,00525926 euros |
02/07/2014 | 6,99409246 euros |
01/07/2014 | 6,99321668 euros |
30/06/2014 | 6,98489394 euros |
29/06/2014 | 6,9894003 euros |
28/06/2014 | 6,9892295 euros |
27/06/2014 | 6,98905887 euros |
26/06/2014 | 6,99126387 euros |
25/06/2014 | 6,98505351 euros |
24/06/2014 | 6,99441053 euros |
23/06/2014 | 6,992615 euros |
22/06/2014 | 6,99414623 euros |
21/06/2014 | 6,99397233 euros |
20/06/2014 | 6,99379908 euros |
19/06/2014 | 7,00030252 euros |
18/06/2014 | 6,98985206 euros |
17/06/2014 | 6,99055477 euros |
16/06/2014 | 6,99580931 euros |
15/06/2014 | 7,00644668 euros |
14/06/2014 | 7,0062453 euros |
13/06/2014 | 7,00604435 euros |
12/06/2014 | 7,00502458 euros |
11/06/2014 | 7,00794481 euros |
10/06/2014 | 7,01246 euros |
09/06/2014 | 7,01388431 euros |
08/06/2014 | 7,00471509 euros |
07/06/2014 | 7,00451559 euros |
06/06/2014 | 7,00431639 euros |
05/06/2014 | 6,97856132 euros |
04/06/2014 | 6,96538181 euros |
03/06/2014 | 6,96750496 euros |
02/06/2014 | 6,97586188 euros |
01/06/2014 | 6,97023187 euros |
31/05/2014 | 6,97000823 euros |
30/05/2014 | 6,96978153 euros |
29/05/2014 | 6,97438218 euros |
28/05/2014 | 6,97468779 euros |
27/05/2014 | 6,96662976 euros |
26/05/2014 | 6,96106409 euros |
25/05/2014 | 6,9487668 euros |
24/05/2014 | 6,94852899 euros |
23/05/2014 | 6,94829134 euros |
22/05/2014 | 6,93952243 euros |
21/05/2014 | 6,93928887 euros |
20/05/2014 | 6,93334075 euros |