Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

06/04/2013 22,72995216 euros
05/04/2013 22,73132291 euros
04/04/2013 23,05239928 euros
03/04/2013 23,2095667 euros
02/04/2013 23,56629979 euros
01/04/2013 23,07057777 euros
31/03/2013 23,07195516 euros
30/03/2013 23,07334687 euros
29/03/2013 23,07473869 euros
28/03/2013 23,0761162 euros
27/03/2013 22,98160707 euros
26/03/2013 23,23700219 euros
25/03/2013 23,31249498 euros
24/03/2013 23,59896371 euros
23/03/2013 23,60038921 euros
22/03/2013 23,60181457 euros
21/03/2013 23,61827192 euros
20/03/2013 23,84424056 euros
19/03/2013 23,51941356 euros
18/03/2013 23,81050469 euros
17/03/2013 23,96753849 euros
16/03/2013 23,96898626 euros
15/03/2013 23,97043387 euros
14/03/2013 24,13827326 euros
13/03/2013 23,79281009 euros
12/03/2013 23,85534902 euros
11/03/2013 23,92004345 euros
10/03/2013 24,00639269 euros
09/03/2013 24,00784304 euros
08/03/2013 24,00929325 euros
07/03/2013 23,67609596 euros
06/03/2013 23,58216602 euros
05/03/2013 23,60624009 euros
04/03/2013 23,05681989 euros
03/03/2013 23,02694946 euros
02/03/2013 23,0283402 euros
01/03/2013 23,02973098 euros
28/02/2013 23,17902053 euros
27/02/2013 22,98809672 euros
26/02/2013 22,62527188 euros
25/02/2013 23,34322643 euros
24/02/2013 23,15148624 euros
23/02/2013 23,1528848 euros
22/02/2013 23,15428345 euros
21/02/2013 22,71260788 euros
20/02/2013 23,2466358 euros
19/02/2013 23,44442379 euros
18/02/2013 23,03932179 euros
17/02/2013 23,02865075 euros
16/02/2013 23,03004219 euros