
Fondo: CAIXABANK BOLSA GESTION EUROPA, FI CLASE PLUS
Fecha |
Valor liquidativo |
---|---|
07/03/2016 | 6,07305253 euros |
06/03/2016 | 6,10261607 euros |
05/03/2016 | 6,10289352 euros |
04/03/2016 | 6,10317095 euros |
03/03/2016 | 6,05493162 euros |
02/03/2016 | 6,06861571 euros |
01/03/2016 | 6,0237791 euros |
29/02/2016 | 5,91756169 euros |
28/02/2016 | 5,87331573 euros |
27/02/2016 | 5,87358292 euros |
26/02/2016 | 5,87385022 euros |
25/02/2016 | 5,78060865 euros |
24/02/2016 | 5,64161798 euros |
23/02/2016 | 5,78582658 euros |
22/02/2016 | 5,87778353 euros |
21/02/2016 | 5,75182204 euros |
20/02/2016 | 5,75208337 euros |
19/02/2016 | 5,75234472 euros |
18/02/2016 | 5,80445095 euros |
17/02/2016 | 5,78324791 euros |
16/02/2016 | 5,61274521 euros |
15/02/2016 | 5,64647637 euros |
14/02/2016 | 5,47076078 euros |
13/02/2016 | 5,47100949 euros |
12/02/2016 | 5,47125792 euros |
11/02/2016 | 5,30545006 euros |
10/02/2016 | 5,53302497 euros |
09/02/2016 | 5,40027457 euros |
08/02/2016 | 5,50377245 euros |
07/02/2016 | 5,72457764 euros |
06/02/2016 | 5,72483709 euros |
05/02/2016 | 5,72509655 euros |
04/02/2016 | 5,80026047 euros |
03/02/2016 | 5,78319194 euros |
02/02/2016 | 5,89417267 euros |
01/02/2016 | 6,03693557 euros |
31/01/2016 | 6,07476817 euros |
30/01/2016 | 6,07504372 euros |
29/01/2016 | 6,07531929 euros |
28/01/2016 | 5,94875927 euros |
27/01/2016 | 6,05847244 euros |
26/01/2016 | 6,0327453 euros |
25/01/2016 | 5,96882189 euros |
24/01/2016 | 6,03653769 euros |
23/01/2016 | 6,03681128 euros |
22/01/2016 | 6,03708493 euros |
21/01/2016 | 5,85725195 euros |
20/01/2016 | 5,72661274 euros |
19/01/2016 | 5,94975538 euros |
18/01/2016 | 5,86599615 euros |