Fondos liquidativos

Fondo: CAIXABANK RENTA FIJA FLEXIBLE, FI CLASE PREMIUM

Fecha

Valor liquidativo

15/03/2015 6,26531847 euros
14/03/2015 6,26491343 euros
13/03/2015 6,26450911 euros
12/03/2015 6,26998234 euros
11/03/2015 6,27238173 euros
10/03/2015 6,25810801 euros
09/03/2015 6,24898346 euros
08/03/2015 6,2472577 euros
07/03/2015 6,24684766 euros
06/03/2015 6,24643815 euros
05/03/2015 6,23515847 euros
04/03/2015 6,21950527 euros
03/03/2015 6,21891574 euros
02/03/2015 6,22285634 euros
01/03/2015 6,22343002 euros
28/02/2015 6,2229405 euros
27/02/2015 6,2225211 euros
26/02/2015 6,21719885 euros
25/02/2015 6,19697497 euros
24/02/2015 6,1915066 euros
23/02/2015 6,18338028 euros
22/02/2015 6,17010722 euros
21/02/2015 6,16969929 euros
20/02/2015 6,16929171 euros
19/02/2015 6,16365789 euros
18/02/2015 6,16065473 euros
17/02/2015 6,15572084 euros
16/02/2015 6,16014973 euros
15/02/2015 6,1595381 euros
14/02/2015 6,15913357 euros
13/02/2015 6,1587297 euros
12/02/2015 6,15396458 euros
11/02/2015 6,15043697 euros
10/02/2015 6,1490133 euros
09/02/2015 6,15017209 euros
08/02/2015 6,15996631 euros
07/02/2015 6,15957083 euros
06/02/2015 6,1591758 euros
05/02/2015 6,15470246 euros
04/02/2015 6,15415687 euros
03/02/2015 6,14605522 euros
02/02/2015 6,14137928 euros
01/02/2015 6,14242117 euros
31/01/2015 6,14200683 euros
30/01/2015 6,14162396 euros
29/01/2015 6,14162043 euros
28/01/2015 6,14489636 euros
27/01/2015 6,15038261 euros
26/01/2015 6,15518243 euros
25/01/2015 6,15275568 euros