Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

06/06/2009 20,76884268 euros
05/06/2009 20,7700654 euros
04/06/2009 20,63977186 euros
03/06/2009 20,60288062 euros
02/06/2009 21,0368876 euros
01/06/2009 21,03404788 euros
31/05/2009 20,31231256 euros
30/05/2009 20,31340293 euros
29/05/2009 20,31449156 euros
28/05/2009 20,34107011 euros
27/05/2009 20,55906876 euros
26/05/2009 20,44967573 euros
25/05/2009 20,21873932 euros
24/05/2009 20,15798448 euros
23/05/2009 20,15902537 euros
22/05/2009 20,16006476 euros
21/05/2009 20,06308658 euros
20/05/2009 20,57678256 euros
19/05/2009 20,3293699 euros
18/05/2009 19,98055817 euros
17/05/2009 19,45958626 euros
16/05/2009 19,46065514 euros
15/05/2009 19,46172411 euros
14/05/2009 19,38146223 euros
13/05/2009 19,41869213 euros
12/05/2009 19,94245442 euros
11/05/2009 19,95641518 euros
10/05/2009 20,20262031 euros
09/05/2009 20,20377041 euros
08/05/2009 20,20492058 euros
07/05/2009 19,75013094 euros
06/05/2009 19,95401462 euros
05/05/2009 19,6952855 euros
04/05/2009 19,78356925 euros
03/05/2009 19,32223119 euros
02/05/2009 19,3233456 euros
01/05/2009 19,32446008 euros
30/04/2009 19,32557451 euros
29/04/2009 18,9661144 euros
28/04/2009 18,52299216 euros
27/04/2009 18,82972328 euros
26/04/2009 18,8414602 euros
25/04/2009 18,84250354 euros
24/04/2009 18,84354711 euros
23/04/2009 18,32010873 euros
22/04/2009 18,45884615 euros
21/04/2009 18,11828225 euros
20/04/2009 18,15718305 euros
19/04/2009 18,89320506 euros
18/04/2009 18,89425179 euros