Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE ESPAÑA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

19/06/2010 6,4910146 euros
18/06/2010 6,49125579 euros
17/06/2010 6,3466894 euros
16/06/2010 6,30372446 euros
15/06/2010 6,34000029 euros
14/06/2010 6,23775741 euros
13/06/2010 6,20252678 euros
12/06/2010 6,20277121 euros
11/06/2010 6,20301565 euros
10/06/2010 5,96651931 euros
09/06/2010 5,75541233 euros
08/06/2010 5,62460029 euros
07/06/2010 5,70401449 euros
06/06/2010 5,78905004 euros
05/06/2010 5,78928029 euros
04/06/2010 5,78951055 euros
03/06/2010 6,01646756 euros
02/06/2010 6,01182834 euros
01/06/2010 6,03445441 euros
31/05/2010 6,06914387 euros
30/05/2010 6,10950878 euros
29/05/2010 6,10975032 euros
28/05/2010 6,10999188 euros
27/05/2010 6,05438394 euros
26/05/2010 5,863845 euros
25/05/2010 5,84312411 euros
24/05/2010 6,02293045 euros
23/05/2010 6,10597086 euros
22/05/2010 6,10621251 euros
21/05/2010 6,10645427 euros
20/05/2010 6,01284159 euros
19/05/2010 6,08333006 euros
18/05/2010 6,24376927 euros
17/05/2010 6,02330125 euros
16/05/2010 6,04004834 euros
15/05/2010 6,04028727 euros
14/05/2010 6,04052622 euros
13/05/2010 6,47417029 euros
12/05/2010 6,54423594 euros
11/05/2010 6,49342226 euros
10/05/2010 6,65793597 euros
09/05/2010 5,81516391 euros
08/05/2010 5,81539485 euros
07/05/2010 5,81562602 euros
06/05/2010 6,01830022 euros
05/05/2010 6,20421421 euros
04/05/2010 6,33878663 euros
03/05/2010 6,7005765 euros
02/05/2010 6,70545305 euros
01/05/2010 6,70572124 euros