Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION EUROPA, FI CLASE PLUS

Fecha

Valor liquidativo

06/03/2013 5,26411953 euros
05/03/2013 5,26978018 euros
04/03/2013 5,16264111 euros
03/03/2013 5,18183314 euros
02/03/2013 5,18206713 euros
01/03/2013 5,18230115 euros
28/02/2013 5,21147281 euros
27/02/2013 5,17201236 euros
26/02/2013 5,12245158 euros
25/02/2013 5,19710874 euros
24/02/2013 5,19211272 euros
23/02/2013 5,19234692 euros
22/02/2013 5,1925808 euros
21/02/2013 5,13595528 euros
20/02/2013 5,23110235 euros
19/02/2013 5,24219283 euros
18/02/2013 5,19093083 euros
17/02/2013 5,1997895 euros
16/02/2013 5,20002437 euros
15/02/2013 5,20025928 euros
14/02/2013 5,21533181 euros
13/02/2013 5,21271995 euros
12/02/2013 5,1820345 euros
11/02/2013 5,14155729 euros
10/02/2013 5,16807117 euros
09/02/2013 5,16830404 euros
08/02/2013 5,16853664 euros
07/02/2013 5,10696303 euros
06/02/2013 5,12964673 euros
05/02/2013 5,13173868 euros
04/02/2013 5,11697902 euros
03/02/2013 5,2091579 euros
02/02/2013 5,20939246 euros
01/02/2013 5,20962669 euros
31/01/2013 5,19478493 euros
30/01/2013 5,21156332 euros
29/01/2013 5,27022321 euros
28/01/2013 5,25445196 euros
27/01/2013 5,26025171 euros
26/01/2013 5,26048999 euros
25/01/2013 5,26072829 euros
24/01/2013 5,24581048 euros
23/01/2013 5,22664235 euros
22/01/2013 5,22584108 euros
21/01/2013 5,23344701 euros
20/01/2013 5,20889686 euros
19/01/2013 5,20913288 euros
18/01/2013 5,20936903 euros
17/01/2013 5,20875223 euros
16/01/2013 5,18434265 euros