Fondos liquidativos

Fons: CAIXABANK SELECCION FUTURO SOSTENIBLE, FI CLASE ESTANDAR

Data

Valor liquidatiu

14/07/2011 7,70210767 euros
13/07/2011 7,6955506 euros
12/07/2011 7,69380975 euros
11/07/2011 7,71643214 euros
10/07/2011 7,73779484 euros
09/07/2011 7,73805003 euros
08/07/2011 7,73830506 euros
07/07/2011 7,73246897 euros
06/07/2011 7,72620307 euros
05/07/2011 7,72351873 euros
04/07/2011 7,71732391 euros
03/07/2011 7,70668549 euros
02/07/2011 7,70693929 euros
01/07/2011 7,7071932 euros
30/06/2011 7,68806212 euros
29/06/2011 7,66102085 euros
28/06/2011 7,63781837 euros
27/06/2011 7,6398611 euros
26/06/2011 7,64991682 euros
25/06/2011 7,6501704 euros
24/06/2011 7,65042416 euros
23/06/2011 7,65661776 euros
22/06/2011 7,66532877 euros
21/06/2011 7,65677909 euros
20/06/2011 7,6534816 euros
19/06/2011 7,6619774 euros
18/06/2011 7,66222512 euros
17/06/2011 7,66247303 euros
16/06/2011 7,67524778 euros
15/06/2011 7,71340381 euros
14/06/2011 7,72187958 euros
13/06/2011 7,72568202 euros
12/06/2011 7,74229472 euros
11/06/2011 7,74253815 euros
10/06/2011 7,7427813 euros
09/06/2011 7,75247569 euros
08/06/2011 7,75757773 euros
07/06/2011 7,77738325 euros
06/06/2011 7,7832429 euros
05/06/2011 7,79424417 euros
04/06/2011 7,79450064 euros
03/06/2011 7,79475756 euros
02/06/2011 7,80228301 euros
01/06/2011 7,79847675 euros
31/05/2011 7,80971796 euros
30/05/2011 7,81035403 euros
29/05/2011 7,80486091 euros
28/05/2011 7,80511569 euros
27/05/2011 7,80537208 euros
26/05/2011 7,81087301 euros