Fondos liquidativos

Fondo: CAIXABANK RENTA FIJA FLEXIBLE, FI CLASE PREMIUM

Fecha

Valor liquidativo

05/12/2014 6,05005348 euros
04/12/2014 6,03941059 euros
03/12/2014 6,04188821 euros
02/12/2014 6,03375467 euros
01/12/2014 6,02909187 euros
30/11/2014 6,02975181 euros
29/11/2014 6,02931547 euros
28/11/2014 6,0288789 euros
27/11/2014 6,02488641 euros
26/11/2014 6,01534836 euros
25/11/2014 6,01653579 euros
24/11/2014 6,01188033 euros
23/11/2014 6,0078956 euros
22/11/2014 6,00747791 euros
21/11/2014 6,00706103 euros
20/11/2014 5,98966708 euros
19/11/2014 5,99201317 euros
18/11/2014 5,99792305 euros
17/11/2014 6,00215728 euros
16/11/2014 5,99912876 euros
15/11/2014 5,99871609 euros
14/11/2014 5,99830353 euros
13/11/2014 6,00068538 euros
12/11/2014 6,00234557 euros
11/11/2014 6,00148132 euros
10/11/2014 5,99602054 euros
09/11/2014 5,99117509 euros
08/11/2014 5,99079206 euros
07/11/2014 5,99040951 euros
06/11/2014 5,98960993 euros
05/11/2014 5,98379017 euros
04/11/2014 5,98354347 euros
03/11/2014 5,97841129 euros
02/11/2014 5,9801683 euros
01/11/2014 5,97973528 euros
31/10/2014 5,97930453 euros
30/10/2014 5,97190463 euros
29/10/2014 5,97455172 euros
28/10/2014 5,97475453 euros
27/10/2014 5,9736225 euros
26/10/2014 5,97138149 euros
25/10/2014 5,97095785 euros
24/10/2014 5,97053504 euros
23/10/2014 5,96647779 euros
22/10/2014 5,96466854 euros
21/10/2014 5,95755967 euros
20/10/2014 5,94780898 euros
19/10/2014 5,95601845 euros
18/10/2014 5,95558688 euros
17/10/2014 5,95515624 euros