
Fondo: CAIXABANK BOLSA GESTION EUROPA, FI CLASE PLUS
Fecha |
Valor liquidativo |
---|---|
17/01/2016 | 5,9115493 euros |
16/01/2016 | 5,9118161 euros |
15/01/2016 | 5,91208291 euros |
14/01/2016 | 6,11502225 euros |
13/01/2016 | 6,21675465 euros |
12/01/2016 | 6,20243099 euros |
11/01/2016 | 6,14608677 euros |
10/01/2016 | 6,17006931 euros |
09/01/2016 | 6,17034647 euros |
08/01/2016 | 6,17062364 euros |
07/01/2016 | 6,26923533 euros |
06/01/2016 | 6,42252649 euros |
05/01/2016 | 6,52019709 euros |
04/01/2016 | 6,48008316 euros |
03/01/2016 | 6,6568611 euros |
02/01/2016 | 6,65715939 euros |
01/01/2016 | 6,6574577 euros |
31/12/2015 | 6,65775763 euros |
30/12/2015 | 6,69052263 euros |
29/12/2015 | 6,71587292 euros |
28/12/2015 | 6,61474612 euros |
27/12/2015 | 6,66422748 euros |
26/12/2015 | 6,66452732 euros |
25/12/2015 | 6,66482717 euros |
24/12/2015 | 6,67057753 euros |
23/12/2015 | 6,67719587 euros |
22/12/2015 | 6,48705902 euros |
21/12/2015 | 6,49154035 euros |
20/12/2015 | 6,55843621 euros |
19/12/2015 | 6,55873119 euros |
18/12/2015 | 6,55902607 euros |
17/12/2015 | 6,62092304 euros |
16/12/2015 | 6,51475125 euros |
15/12/2015 | 6,50853311 euros |
14/12/2015 | 6,30443192 euros |
13/12/2015 | 6,4373591 euros |
12/12/2015 | 6,43764856 euros |
11/12/2015 | 6,43793776 euros |
10/12/2015 | 6,58671304 euros |
09/12/2015 | 6,5962883 euros |
08/12/2015 | 6,62788477 euros |
07/12/2015 | 6,75355729 euros |
06/12/2015 | 6,72428806 euros |
05/12/2015 | 6,72459052 euros |
04/12/2015 | 6,72489359 euros |
03/12/2015 | 6,74019129 euros |
02/12/2015 | 6,97261784 euros |
01/12/2015 | 6,96144863 euros |
30/11/2015 | 6,99549151 euros |
29/11/2015 | 6,95392422 euros |