
Fondo: CAIXABANK BOLSA SELECCION GLOBAL, FI CLASE ESTANDAR
Fecha |
Valor liquidativo |
---|---|
10/03/2015 | 10,76566876 euros |
09/03/2015 | 10,79723769 euros |
08/03/2015 | 10,81649744 euros |
07/03/2015 | 10,817201 euros |
06/03/2015 | 10,81790505 euros |
05/03/2015 | 10,75519142 euros |
04/03/2015 | 10,64996268 euros |
03/03/2015 | 10,61717402 euros |
02/03/2015 | 10,63880926 euros |
01/03/2015 | 10,61310307 euros |
28/02/2015 | 10,61379073 euros |
27/02/2015 | 10,61447991 euros |
26/02/2015 | 10,60690772 euros |
25/02/2015 | 10,48632852 euros |
24/02/2015 | 10,48689391 euros |
23/02/2015 | 10,4575513 euros |
22/02/2015 | 10,41980622 euros |
21/02/2015 | 10,42048355 euros |
20/02/2015 | 10,42116133 euros |
19/02/2015 | 10,39252739 euros |
18/02/2015 | 10,36512548 euros |
17/02/2015 | 10,30170549 euros |
16/02/2015 | 10,29815192 euros |
15/02/2015 | 10,28670702 euros |
14/02/2015 | 10,28737592 euros |
13/02/2015 | 10,28804513 euros |
12/02/2015 | 10,22338687 euros |
11/02/2015 | 10,17897642 euros |
10/02/2015 | 10,16597742 euros |
09/02/2015 | 10,11585006 euros |
08/02/2015 | 10,16931427 euros |
07/02/2015 | 10,16997517 euros |
06/02/2015 | 10,17063638 euros |
05/02/2015 | 10,09790075 euros |
04/02/2015 | 10,06251044 euros |
03/02/2015 | 10,00790507 euros |
02/02/2015 | 9,96280867 euros |
01/02/2015 | 9,98136044 euros |
31/01/2015 | 9,98200838 euros |
30/01/2015 | 9,98265602 euros |
29/01/2015 | 9,99903925 euros |
28/01/2015 | 10,04474657 euros |
27/01/2015 | 10,03442206 euros |
26/01/2015 | 10,14436147 euros |
25/01/2015 | 10,1538728 euros |
24/01/2015 | 10,15453271 euros |
23/01/2015 | 10,15519291 euros |
22/01/2015 | 9,96967344 euros |
21/01/2015 | 9,74988833 euros |
20/01/2015 | 9,72300403 euros |