Fondos liquidativos

Fondo: CAIXABANK SELECCION RETORNO ABSOLUTO, FI CLASE PLUS

Fecha

Valor liquidativo

29/09/2015 6,64096458 euros
28/09/2015 6,66184444 euros
27/09/2015 6,684329 euros
26/09/2015 6,68451311 euros
25/09/2015 6,68469734 euros
24/09/2015 6,67432662 euros
23/09/2015 6,67984042 euros
22/09/2015 6,67310013 euros
21/09/2015 6,68989933 euros
20/09/2015 6,68563975 euros
19/09/2015 6,68582389 euros
18/09/2015 6,68600803 euros
17/09/2015 6,69848589 euros
16/09/2015 6,69781131 euros
15/09/2015 6,69254926 euros
14/09/2015 6,69289582 euros
13/09/2015 6,69674564 euros
12/09/2015 6,69693009 euros
11/09/2015 6,69711445 euros
10/09/2015 6,70145541 euros
09/09/2015 6,7056166 euros
08/09/2015 6,69839013 euros
07/09/2015 6,68649812 euros
06/09/2015 6,68452753 euros
05/09/2015 6,68471163 euros
04/09/2015 6,68489578 euros
03/09/2015 6,69783056 euros
02/09/2015 6,67652014 euros
01/09/2015 6,66513664 euros
31/08/2015 6,69033923 euros
30/08/2015 6,69304976 euros
29/08/2015 6,6932341 euros
28/08/2015 6,69341843 euros
27/08/2015 6,69469691 euros
26/08/2015 6,66139665 euros
25/08/2015 6,65240103 euros
24/08/2015 6,62667911 euros
23/08/2015 6,66015586 euros
22/08/2015 6,66033929 euros
21/08/2015 6,66052274 euros
20/08/2015 6,68661095 euros
19/08/2015 6,71058524 euros
18/08/2015 6,72025339 euros
17/08/2015 6,71859846 euros
16/08/2015 6,71384651 euros
15/08/2015 6,71403142 euros
14/08/2015 6,7142164 euros
13/08/2015 6,70857894 euros
12/08/2015 6,69423849 euros
11/08/2015 6,70830837 euros