Fondos liquidativos

Fondo: CAIXABANK RENTA FIJA FLEXIBLE, FI CLASE PLUS

Fecha

Valor liquidativo

03/11/2007 6,91805596 euros
02/11/2007 6,91747119 euros
01/11/2007 6,91697977 euros
31/10/2007 6,90382463 euros
30/10/2007 6,93130403 euros
29/10/2007 6,93904375 euros
28/10/2007 6,93766971 euros
27/10/2007 6,93708119 euros
26/10/2007 6,93649256 euros
25/10/2007 6,94790014 euros
24/10/2007 6,95288086 euros
23/10/2007 6,93202344 euros
22/10/2007 6,93141795 euros
21/10/2007 6,92010845 euros
20/10/2007 6,919531 euros
19/10/2007 6,91895354 euros
18/10/2007 6,88049984 euros
17/10/2007 6,85302933 euros
16/10/2007 6,83483248 euros
15/10/2007 6,83359941 euros
14/10/2007 6,83792783 euros
13/10/2007 6,83735878 euros
12/10/2007 6,83678971 euros
11/10/2007 6,85239408 euros
10/10/2007 6,86073198 euros
09/10/2007 6,87276542 euros
08/10/2007 6,86135837 euros
07/10/2007 6,86221172 euros
06/10/2007 6,86164726 euros
05/10/2007 6,86108385 euros
04/10/2007 6,87806783 euros
03/10/2007 6,86024861 euros
02/10/2007 6,86478726 euros
01/10/2007 6,86544009 euros
30/09/2007 6,85968647 euros
29/09/2007 6,85913822 euros
28/09/2007 6,85858886 euros
27/09/2007 6,83660416 euros
26/09/2007 6,82963752 euros
25/09/2007 6,84735784 euros
24/09/2007 6,83008244 euros
23/09/2007 6,83434299 euros
22/09/2007 6,83379528 euros
21/09/2007 6,83324741 euros
20/09/2007 6,83731674 euros
19/09/2007 6,85117064 euros
18/09/2007 6,86797946 euros
17/09/2007 6,89327449 euros
16/09/2007 6,88864209 euros
15/09/2007 6,88811285 euros