Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE ESPAÑA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

04/07/2009 6,12051068 euros
03/07/2009 6,12075332 euros
02/07/2009 6,08076393 euros
01/07/2009 6,23522542 euros
30/06/2009 6,14407622 euros
29/06/2009 6,17682713 euros
28/06/2009 6,07960717 euros
27/06/2009 6,07984825 euros
26/06/2009 6,08008937 euros
25/06/2009 6,06701864 euros
24/06/2009 6,03779029 euros
23/06/2009 5,87038734 euros
22/06/2009 5,86478147 euros
21/06/2009 6,01131795 euros
20/06/2009 6,01153949 euros
19/06/2009 6,01176025 euros
18/06/2009 5,88964082 euros
17/06/2009 5,83026112 euros
16/06/2009 5,96319185 euros
15/06/2009 5,97638977 euros
14/06/2009 6,09834851 euros
13/06/2009 6,09857287 euros
12/06/2009 6,09879718 euros
11/06/2009 6,09461728 euros
10/06/2009 6,04435114 euros
09/06/2009 5,96414586 euros
08/06/2009 5,90109407 euros
07/06/2009 5,97818135 euros
06/06/2009 5,97841145 euros
05/06/2009 5,97864141 euros
04/06/2009 5,93822186 euros
03/06/2009 5,94532554 euros
02/06/2009 6,07082392 euros
01/06/2009 6,04807624 euros
31/05/2009 5,9202082 euros
30/05/2009 5,92042933 euros
29/05/2009 5,92065028 euros
28/05/2009 5,92634206 euros
27/05/2009 5,97542614 euros
26/05/2009 5,90765752 euros
25/05/2009 5,87362962 euros
24/05/2009 5,84813475 euros
23/05/2009 5,84835052 euros
22/05/2009 5,8485668 euros
21/05/2009 5,79615064 euros
20/05/2009 5,89966891 euros
19/05/2009 5,86594139 euros
18/05/2009 5,7532027 euros
17/05/2009 5,64081112 euros
16/05/2009 5,64102962 euros