
Fondo: CAIXABANK BOLSA GESTION EUROPA, FI CLASE PLUS
Fecha |
Valor liquidativo |
---|---|
01/02/2015 | 6,48575738 euros |
31/01/2015 | 6,48604855 euros |
30/01/2015 | 6,48634194 euros |
29/01/2015 | 6,5189826 euros |
28/01/2015 | 6,53690193 euros |
27/01/2015 | 6,55709688 euros |
26/01/2015 | 6,6256548 euros |
25/01/2015 | 6,60443652 euros |
24/01/2015 | 6,60473606 euros |
23/01/2015 | 6,60503594 euros |
22/01/2015 | 6,51058708 euros |
21/01/2015 | 6,37757494 euros |
20/01/2015 | 6,3134452 euros |
19/01/2015 | 6,23772664 euros |
18/01/2015 | 6,22798429 euros |
17/01/2015 | 6,22826699 euros |
16/01/2015 | 6,22854969 euros |
15/01/2015 | 6,14780236 euros |
14/01/2015 | 5,95162351 euros |
13/01/2015 | 6,06354822 euros |
12/01/2015 | 5,96644328 euros |
11/01/2015 | 5,93206003 euros |
10/01/2015 | 5,93233059 euros |
09/01/2015 | 5,93260116 euros |
08/01/2015 | 6,03262734 euros |
07/01/2015 | 5,84730105 euros |
06/01/2015 | 5,81800201 euros |
05/01/2015 | 5,87644619 euros |
04/01/2015 | 6,04888254 euros |
03/01/2015 | 6,04915836 euros |
02/01/2015 | 6,04943418 euros |
01/01/2015 | 6,07363237 euros |
31/12/2014 | 6,07166964 euros |
30/12/2014 | 6,04477997 euros |
29/12/2014 | 6,10467893 euros |
28/12/2014 | 6,12123817 euros |
27/12/2014 | 6,12152024 euros |
26/12/2014 | 6,12180231 euros |
25/12/2014 | 6,11868876 euros |
24/12/2014 | 6,11998125 euros |
23/12/2014 | 6,11970678 euros |
22/12/2014 | 6,07222058 euros |
21/12/2014 | 6,05350341 euros |
20/12/2014 | 6,05378231 euros |
19/12/2014 | 6,05406122 euros |
18/12/2014 | 6,06895713 euros |
17/12/2014 | 5,86048747 euros |
16/12/2014 | 5,85766005 euros |
15/12/2014 | 5,73006596 euros |
14/12/2014 | 5,90205193 euros |