Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE PLUS

Fecha

Valor liquidativo

24/03/2016 7,72147012 euros
23/03/2016 7,82961861 euros
22/03/2016 7,86773673 euros
21/03/2016 7,90633173 euros
20/03/2016 7,93551717 euros
19/03/2016 7,93587553 euros
18/03/2016 7,93623363 euros
17/03/2016 7,86235324 euros
16/03/2016 7,86934091 euros
15/03/2016 7,89823269 euros
14/03/2016 8,01306059 euros
13/03/2016 7,96045457 euros
12/03/2016 7,96081405 euros
11/03/2016 7,9611734 euros
10/03/2016 7,74011105 euros
09/03/2016 7,74225189 euros
08/03/2016 7,72548748 euros
07/03/2016 7,77694677 euros
06/03/2016 7,81536508 euros
05/03/2016 7,81571801 euros
04/03/2016 7,81607067 euros
03/03/2016 7,78673296 euros
02/03/2016 7,80590758 euros
01/03/2016 7,74019564 euros
29/02/2016 7,59406831 euros
28/02/2016 7,50285392 euros
27/02/2016 7,50319282 euros
26/02/2016 7,50353171 euros
25/02/2016 7,42255855 euros
24/02/2016 7,23392464 euros
23/02/2016 7,4413491 euros
22/02/2016 7,53470015 euros
21/02/2016 7,37305155 euros
20/02/2016 7,3733845 euros
19/02/2016 7,37371751 euros
18/02/2016 7,43829811 euros
17/02/2016 7,43952693 euros
16/02/2016 7,24558384 euros
15/02/2016 7,24822274 euros
14/02/2016 7,04663901 euros
13/02/2016 7,04695721 euros
12/02/2016 7,0472755 euros
11/02/2016 6,93522828 euros
10/02/2016 7,22159007 euros
09/02/2016 7,05488566 euros
08/02/2016 7,20817072 euros
07/02/2016 7,53997913 euros
06/02/2016 7,5403196 euros
05/02/2016 7,54065998 euros
04/02/2016 7,56376646 euros