Fondos liquidativos

Fons: CAIXABANK BOLSA INDICE ESPAÑA, FI CLASE ESTANDAR

Data

Valor liquidatiu

04/08/2007 8,57463157 euros
03/08/2007 8,57485514 euros
02/08/2007 8,66080468 euros
01/08/2007 8,61296106 euros
31/07/2007 8,71569864 euros
30/07/2007 8,54222153 euros
29/07/2007 8,59066699 euros
28/07/2007 8,59088845 euros
27/07/2007 8,59110995 euros
26/07/2007 8,56440282 euros
25/07/2007 8,79910694 euros
24/07/2007 8,78484476 euros
23/07/2007 8,87017581 euros
22/07/2007 8,79465437 euros
21/07/2007 8,79487344 euros
20/07/2007 8,79509248 euros
19/07/2007 8,95760426 euros
18/07/2007 8,86939306 euros
17/07/2007 8,92670157 euros
16/07/2007 8,90006137 euros
15/07/2007 8,84924408 euros
14/07/2007 8,84944034 euros
13/07/2007 8,84963655 euros
12/07/2007 8,80285342 euros
11/07/2007 8,69773116 euros
10/07/2007 8,73120531 euros
09/07/2007 8,81120085 euros
08/07/2007 8,85819944 euros
07/07/2007 8,8583854 euros
06/07/2007 8,85857136 euros
05/07/2007 8,76900731 euros
04/07/2007 8,80749346 euros
03/07/2007 8,73820001 euros
02/07/2007 8,70098613 euros
01/07/2007 8,71894553 euros
30/06/2007 8,71917554 euros
29/06/2007 8,71934499 euros
28/06/2007 8,67686432 euros
27/06/2007 8,59339614 euros
26/06/2007 8,63675748 euros
25/06/2007 8,68939793 euros
24/06/2007 8,64869356 euros
23/06/2007 8,6488629 euros
22/06/2007 8,64903276 euros
21/06/2007 8,70996575 euros
20/06/2007 8,79967531 euros
19/06/2007 8,78004391 euros
18/06/2007 8,83958782 euros
17/06/2007 8,92441732 euros
16/06/2007 8,92459447 euros