Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE EXTRA
Fecha |
Valor liquidativo |
---|---|
08/09/2013 | 7,35711059 euros |
07/09/2013 | 7,35735329 euros |
06/09/2013 | 7,35759316 euros |
05/09/2013 | 7,28951157 euros |
04/09/2013 | 7,22032873 euros |
03/09/2013 | 7,20426489 euros |
02/09/2013 | 7,18741727 euros |
01/09/2013 | 7,06258736 euros |
31/08/2013 | 7,06282 euros |
30/08/2013 | 7,06305266 euros |
29/08/2013 | 7,17967935 euros |
28/08/2013 | 7,11970975 euros |
27/08/2013 | 7,13791893 euros |
26/08/2013 | 7,35182935 euros |
25/08/2013 | 7,39762833 euros |
24/08/2013 | 7,39787233 euros |
23/08/2013 | 7,39811634 euros |
22/08/2013 | 7,34061833 euros |
21/08/2013 | 7,21308215 euros |
20/08/2013 | 7,25060635 euros |
19/08/2013 | 7,37451152 euros |
18/08/2013 | 7,49620421 euros |
17/08/2013 | 7,49645136 euros |
16/08/2013 | 7,49669853 euros |
15/08/2013 | 7,42881313 euros |
14/08/2013 | 7,4910852 euros |
13/08/2013 | 7,47244016 euros |
12/08/2013 | 7,42620135 euros |
11/08/2013 | 7,45680579 euros |
10/08/2013 | 7,45705162 euros |
09/08/2013 | 7,45729748 euros |
08/08/2013 | 7,39508165 euros |
07/08/2013 | 7,30662778 euros |
06/08/2013 | 7,28063367 euros |
05/08/2013 | 7,3289281 euros |
04/08/2013 | 7,32203507 euros |
03/08/2013 | 7,3222766 euros |
02/08/2013 | 7,32251816 euros |
01/08/2013 | 7,28466401 euros |
31/07/2013 | 7,1784871 euros |
30/07/2013 | 7,18233207 euros |
29/07/2013 | 7,11520523 euros |
28/07/2013 | 7,0942878 euros |
27/07/2013 | 7,09452112 euros |
26/07/2013 | 7,09475446 euros |
25/07/2013 | 7,05237814 euros |
24/07/2013 | 6,99672823 euros |
23/07/2013 | 6,89359077 euros |
22/07/2013 | 6,81878185 euros |
21/07/2013 | 6,80119102 euros |