Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE ESPAÑA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

30/04/2010 6,70598946 euros
29/04/2010 6,67337593 euros
28/04/2010 6,49889176 euros
27/04/2010 6,70146957 euros
26/04/2010 6,99435318 euros
25/04/2010 6,97981759 euros
24/04/2010 6,9800974 euros
23/04/2010 6,9803773 euros
22/04/2010 6,92249326 euros
21/04/2010 7,07411121 euros
20/04/2010 7,23188703 euros
19/04/2010 7,16355851 euros
18/04/2010 7,20129529 euros
17/04/2010 7,20158249 euros
16/04/2010 7,20186975 euros
15/04/2010 7,36783711 euros
14/04/2010 7,35665135 euros
13/04/2010 7,33074596 euros
12/04/2010 7,32885447 euros
11/04/2010 7,27542052 euros
10/04/2010 7,27571096 euros
09/04/2010 7,27600148 euros
08/04/2010 7,07275813 euros
07/04/2010 7,14594657 euros
06/04/2010 7,12703179 euros
05/04/2010 7,06920071 euros
04/04/2010 7,0693068 euros
03/04/2010 7,06958868 euros
02/04/2010 7,06987059 euros
01/04/2010 7,0701511 euros
31/03/2010 6,9419596 euros
30/03/2010 7,01202298 euros
29/03/2010 7,0828875 euros
28/03/2010 7,07214239 euros
27/03/2010 7,07242421 euros
26/03/2010 7,07270604 euros
25/03/2010 7,08376296 euros
24/03/2010 6,94248195 euros
23/03/2010 7,02612977 euros
22/03/2010 6,93932979 euros
21/03/2010 7,02411206 euros
20/03/2010 7,02439116 euros
19/03/2010 7,02467026 euros
18/03/2010 7,07689283 euros
17/03/2010 7,14030661 euros
16/03/2010 7,06832353 euros
15/03/2010 7,00596251 euros
14/03/2010 7,08163205 euros
13/03/2010 7,08191378 euros
12/03/2010 7,08219549 euros