
Fondo: CAIXABANK BOLSA GESTION EUROPA, FI CLASE PLUS
Fecha |
Valor liquidativo |
---|---|
23/03/2015 | 7,26025084 euros |
22/03/2015 | 7,2934047 euros |
21/03/2015 | 7,29373696 euros |
20/03/2015 | 7,29406951 euros |
19/03/2015 | 7,21446757 euros |
18/03/2015 | 7,17439212 euros |
17/03/2015 | 7,16247591 euros |
16/03/2015 | 7,2426515 euros |
15/03/2015 | 7,16916156 euros |
14/03/2015 | 7,16948753 euros |
13/03/2015 | 7,1698135 euros |
12/03/2015 | 7,15614406 euros |
11/03/2015 | 7,14095074 euros |
10/03/2015 | 6,98702388 euros |
09/03/2015 | 7,06020081 euros |
08/03/2015 | 7,08194179 euros |
07/03/2015 | 7,08226426 euros |
06/03/2015 | 7,08258675 euros |
05/03/2015 | 7,06361259 euros |
04/03/2015 | 6,97858911 euros |
03/03/2015 | 6,91748776 euros |
02/03/2015 | 6,99678258 euros |
01/03/2015 | 7,02757263 euros |
28/02/2015 | 7,02788806 euros |
27/02/2015 | 7,02820614 euros |
26/02/2015 | 7,00707144 euros |
25/02/2015 | 6,92429381 euros |
24/02/2015 | 6,93353428 euros |
23/02/2015 | 6,89425093 euros |
22/02/2015 | 6,83248913 euros |
21/02/2015 | 6,83279785 euros |
20/02/2015 | 6,83310677 euros |
19/02/2015 | 6,82168301 euros |
18/02/2015 | 6,80867189 euros |
17/02/2015 | 6,75193554 euros |
16/02/2015 | 6,73193027 euros |
15/02/2015 | 6,7377022 euros |
14/02/2015 | 6,73800713 euros |
13/02/2015 | 6,73831206 euros |
12/02/2015 | 6,66362306 euros |
11/02/2015 | 6,59689479 euros |
10/02/2015 | 6,59843785 euros |
09/02/2015 | 6,54132164 euros |
08/02/2015 | 6,59832481 euros |
07/02/2015 | 6,59862302 euros |
06/02/2015 | 6,59892126 euros |
05/02/2015 | 6,58416214 euros |
04/02/2015 | 6,60228812 euros |
03/02/2015 | 6,58227677 euros |
02/02/2015 | 6,48708729 euros |