Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

07/05/2011 25,10449329 euros
06/05/2011 25,10582165 euros
05/05/2011 24,79824026 euros
04/05/2011 24,9565498 euros
03/05/2011 25,33164045 euros
02/05/2011 25,40184381 euros
01/05/2011 25,36929901 euros
30/04/2011 25,37047691 euros
29/04/2011 25,37165794 euros
28/04/2011 25,3031502 euros
27/04/2011 25,06511986 euros
26/04/2011 24,87125424 euros
25/04/2011 24,71237013 euros
24/04/2011 24,71359657 euros
23/04/2011 24,71480213 euros
22/04/2011 24,71598688 euros
21/04/2011 24,71720176 euros
20/04/2011 24,55882296 euros
19/04/2011 24,02526118 euros
18/04/2011 23,95044217 euros
17/04/2011 24,52761455 euros
16/04/2011 24,52894537 euros
15/04/2011 24,53027998 euros
14/04/2011 24,53083902 euros
13/04/2011 24,7836139 euros
12/04/2011 24,63598883 euros
11/04/2011 24,99678111 euros
10/04/2011 25,0750677 euros
09/04/2011 25,07649794 euros
08/04/2011 25,07791999 euros
07/04/2011 24,89854856 euros
06/04/2011 24,96627181 euros
05/04/2011 24,79520472 euros
04/04/2011 24,83935344 euros
03/04/2011 24,88721673 euros
02/04/2011 24,88865368 euros
01/04/2011 24,89009197 euros
31/03/2011 24,45390995 euros
30/03/2011 24,65646083 euros
29/03/2011 24,44786701 euros
28/03/2011 24,4805619 euros
27/03/2011 24,45801566 euros
26/03/2011 24,45943783 euros
25/03/2011 24,46085712 euros
24/03/2011 24,44766928 euros
23/03/2011 24,07478244 euros
22/03/2011 23,98347332 euros
21/03/2011 24,03008414 euros
20/03/2011 23,45988269 euros
19/03/2011 23,46124233 euros