Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE EXTRA

Fecha

Valor liquidativo

31/03/2015 10,71367922 euros
30/03/2015 10,71582386 euros
29/03/2015 10,58684214 euros
28/03/2015 10,58718865 euros
27/03/2015 10,58753516 euros
26/03/2015 10,62106121 euros
25/03/2015 10,65310545 euros
24/03/2015 10,75146601 euros
23/03/2015 10,60825365 euros
22/03/2015 10,55338625 euros
21/03/2015 10,55373166 euros
20/03/2015 10,55407708 euros
19/03/2015 10,25627483 euros
18/03/2015 10,22647645 euros
17/03/2015 10,2689149 euros
16/03/2015 10,38106141 euros
15/03/2015 10,31115246 euros
14/03/2015 10,31148995 euros
13/03/2015 10,31182745 euros
12/03/2015 10,30563494 euros
11/03/2015 10,29229482 euros
10/03/2015 10,13569734 euros
09/03/2015 10,28725316 euros
08/03/2015 10,29270068 euros
07/03/2015 10,29303756 euros
06/03/2015 10,29337446 euros
05/03/2015 10,24819242 euros
04/03/2015 10,1533415 euros
03/03/2015 10,09628654 euros
02/03/2015 10,25051007 euros
01/03/2015 10,25258585 euros
28/02/2015 10,25292122 euros
27/02/2015 10,25325612 euros
26/02/2015 10,24831768 euros
25/02/2015 10,1341868 euros
24/02/2015 10,20473033 euros
23/02/2015 10,15192526 euros
22/02/2015 10,05429682 euros
21/02/2015 10,05462929 euros
20/02/2015 10,05496177 euros
19/02/2015 10,06548104 euros
18/02/2015 9,98398978 euros
17/02/2015 9,82129418 euros
16/02/2015 9,82504997 euros
15/02/2015 9,84068224 euros
14/02/2015 9,84100765 euros
13/02/2015 9,84133306 euros
12/02/2015 9,62897997 euros
11/02/2015 9,41882386 euros
10/02/2015 9,49406747 euros