
Fondo: CAIXABANK BOLSA GESTION EUROPA, FI CLASE PLUS
Fecha |
Valor liquidativo |
---|---|
28/11/2015 | 6,95423685 euros |
27/11/2015 | 6,9545495 euros |
26/11/2015 | 6,97646642 euros |
25/11/2015 | 6,90735421 euros |
24/11/2015 | 6,8245059 euros |
23/11/2015 | 6,92348159 euros |
22/11/2015 | 6,95038633 euros |
21/11/2015 | 6,95069818 euros |
20/11/2015 | 6,95100821 euros |
19/11/2015 | 6,9581395 euros |
18/11/2015 | 6,92916612 euros |
17/11/2015 | 6,93688598 euros |
16/11/2015 | 6,75977654 euros |
15/11/2015 | 6,76324315 euros |
14/11/2015 | 6,76354664 euros |
13/11/2015 | 6,76385108 euros |
12/11/2015 | 6,81815721 euros |
11/11/2015 | 6,93634223 euros |
10/11/2015 | 6,89862757 euros |
09/11/2015 | 6,89073325 euros |
08/11/2015 | 6,9701242 euros |
07/11/2015 | 6,97043713 euros |
06/11/2015 | 6,97075007 euros |
05/11/2015 | 6,89162691 euros |
04/11/2015 | 6,94220768 euros |
03/11/2015 | 6,90353882 euros |
02/11/2015 | 6,88098438 euros |
01/11/2015 | 6,85703596 euros |
31/10/2015 | 6,85734176 euros |
30/10/2015 | 6,85764942 euros |
29/10/2015 | 6,86185533 euros |
28/10/2015 | 6,89676135 euros |
27/10/2015 | 6,80811056 euros |
26/10/2015 | 6,88580363 euros |
25/10/2015 | 6,9137484 euros |
24/10/2015 | 6,91405778 euros |
23/10/2015 | 6,91438143 euros |
22/10/2015 | 6,76804343 euros |
21/10/2015 | 6,60115573 euros |
20/10/2015 | 6,60418598 euros |
19/10/2015 | 6,63710486 euros |
18/10/2015 | 6,62257515 euros |
17/10/2015 | 6,62287793 euros |
16/10/2015 | 6,62318088 euros |
15/10/2015 | 6,5584165 euros |
14/10/2015 | 6,47186445 euros |
13/10/2015 | 6,51699903 euros |
12/10/2015 | 6,58019728 euros |
11/10/2015 | 6,61705758 euros |
10/10/2015 | 6,61735769 euros |