Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE ESPAÑA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

20/07/2015 9,22018234 euros
19/07/2015 9,16108832 euros
18/07/2015 9,16146267 euros
17/07/2015 9,16183693 euros
16/07/2015 9,18532662 euros
15/07/2015 9,03722219 euros
14/07/2015 8,97505376 euros
13/07/2015 8,94914773 euros
12/07/2015 8,80296738 euros
11/07/2015 8,80332713 euros
10/07/2015 8,80368691 euros
09/07/2015 8,5443364 euros
08/07/2015 8,32708722 euros
07/07/2015 8,26049879 euros
06/07/2015 8,4114274 euros
05/07/2015 8,59950568 euros
04/07/2015 8,59985714 euros
03/07/2015 8,60020861 euros
02/07/2015 8,63804963 euros
01/07/2015 8,68325877 euros
30/06/2015 8,56313629 euros
29/06/2015 8,62667966 euros
28/06/2015 9,03278891 euros
27/06/2015 9,03315804 euros
26/06/2015 9,03352812 euros
25/06/2015 8,9828145 euros
24/06/2015 8,99193895 euros
23/06/2015 9,05657396 euros
22/06/2015 9,03061129 euros
21/06/2015 8,69322185 euros
20/06/2015 8,69357714 euros
19/06/2015 8,69393289 euros
18/06/2015 8,63781636 euros
17/06/2015 8,57867326 euros
16/06/2015 8,62541465 euros
15/06/2015 8,6030621 euros
14/06/2015 8,75114669 euros
13/06/2015 8,75150434 euros
12/06/2015 8,75186133 euros
11/06/2015 8,84823071 euros
10/06/2015 8,80284216 euros
09/06/2015 8,67694085 euros
08/06/2015 8,66220192 euros
07/06/2015 8,77417129 euros
06/06/2015 8,77452988 euros
05/06/2015 8,77488901 euros
04/06/2015 8,83988205 euros
03/06/2015 8,93551574 euros
02/06/2015 8,93989716 euros
01/06/2015 8,91103326 euros