Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

30/07/2012 20,69222958 euros
29/07/2012 20,34844394 euros
28/07/2012 20,34967072 euros
27/07/2012 20,35089757 euros
26/07/2012 19,9054783 euros
25/07/2012 19,09738609 euros
24/07/2012 19,03778078 euros
23/07/2012 19,28301946 euros
22/07/2012 19,79560805 euros
21/07/2012 19,79680044 euros
20/07/2012 19,79799297 euros
19/07/2012 20,36717016 euros
18/07/2012 20,21184019 euros
17/07/2012 19,91036678 euros
16/07/2012 19,92704149 euros
15/07/2012 19,98343642 euros
14/07/2012 19,9846398 euros
13/07/2012 19,98584324 euros
12/07/2012 19,69946277 euros
11/07/2012 19,85821925 euros
10/07/2012 19,82513024 euros
09/07/2012 19,69632653 euros
08/07/2012 19,76236977 euros
07/07/2012 19,76354936 euros
06/07/2012 19,76472942 euros
05/07/2012 20,20232596 euros
04/07/2012 20,44235816 euros
03/07/2012 20,50051276 euros
02/07/2012 20,24628869 euros
01/07/2012 20,00532359 euros
30/06/2012 20,00651157 euros
29/06/2012 20,00769992 euros
28/06/2012 19,06566974 euros
27/06/2012 19,1354466 euros
26/06/2012 18,80786479 euros
25/06/2012 18,83647372 euros
24/06/2012 19,32815476 euros
23/06/2012 19,32930529 euros
22/06/2012 19,33045591 euros
21/06/2012 19,44694141 euros
20/06/2012 19,51155633 euros
19/06/2012 19,43025663 euros
18/06/2012 19,05183901 euros
17/06/2012 19,24325498 euros
16/06/2012 19,2444025 euros
15/06/2012 19,2455501 euros
14/06/2012 18,95871773 euros
13/06/2012 18,91252531 euros
12/06/2012 18,91979559 euros
11/06/2012 18,86812476 euros