Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION EUROPA, FI CLASE PREMIUM

Fecha

Valor liquidativo

18/08/2012 4,90784876 euros
17/08/2012 4,90800833 euros
16/08/2012 4,87360369 euros
15/08/2012 4,84744113 euros
14/08/2012 4,8507176 euros
13/08/2012 4,81766322 euros
12/08/2012 4,83936927 euros
11/08/2012 4,83952634 euros
10/08/2012 4,83968341 euros
09/08/2012 4,84331026 euros
08/08/2012 4,82243304 euros
07/08/2012 4,80834692 euros
06/08/2012 4,78220677 euros
05/08/2012 4,75113998 euros
04/08/2012 4,75129423 euros
03/08/2012 4,75144849 euros
02/08/2012 4,62544778 euros
01/08/2012 4,69034194 euros
31/07/2012 4,6617607 euros
30/07/2012 4,71637134 euros
29/07/2012 4,63027675 euros
28/07/2012 4,63042778 euros
27/07/2012 4,63057882 euros
26/07/2012 4,55101756 euros
25/07/2012 4,43730976 euros
24/07/2012 4,44827108 euros
23/07/2012 4,47217531 euros
22/07/2012 4,6003613 euros
21/07/2012 4,60051088 euros
20/07/2012 4,60066048 euros
19/07/2012 4,67934945 euros
18/07/2012 4,62645208 euros
17/07/2012 4,57336318 euros
16/07/2012 4,58603644 euros
15/07/2012 4,58254857 euros
14/07/2012 4,58269775 euros
13/07/2012 4,58284693 euros
12/07/2012 4,50974981 euros
11/07/2012 4,56593679 euros
10/07/2012 4,56570275 euros
09/07/2012 4,51615589 euros
08/07/2012 4,53248023 euros
07/07/2012 4,53262505 euros
06/07/2012 4,53276989 euros
05/07/2012 4,58291582 euros
04/07/2012 4,59337222 euros
03/07/2012 4,59724988 euros
02/07/2012 4,54961101 euros
01/07/2012 4,48042602 euros
30/06/2012 4,48056758 euros