Fondos liquidativos

Fons: CAIXABANK BOLSA SELECCION EUROPA, FI CLASE ESTANDAR

Data

Valor liquidatiu

17/06/2011 8,3071611 euros
16/06/2011 8,29751751 euros
15/06/2011 8,39062178 euros
14/06/2011 8,44837029 euros
13/06/2011 8,43680427 euros
12/06/2011 8,40886764 euros
11/06/2011 8,4094099 euros
10/06/2011 8,40995235 euros
09/06/2011 8,43017728 euros
08/06/2011 8,38293853 euros
07/06/2011 8,49035631 euros
06/06/2011 8,49384069 euros
05/06/2011 8,52096704 euros
04/06/2011 8,52152321 euros
03/06/2011 8,52207997 euros
02/06/2011 8,55877941 euros
01/06/2011 8,70057139 euros
31/05/2011 8,73276808 euros
30/05/2011 8,66302079 euros
29/05/2011 8,6494745 euros
28/05/2011 8,65003799 euros
27/05/2011 8,65060168 euros
26/05/2011 8,59323077 euros
25/05/2011 8,56872407 euros
24/05/2011 8,56095001 euros
23/05/2011 8,54153668 euros
22/05/2011 8,68264895 euros
21/05/2011 8,68321279 euros
20/05/2011 8,68377676 euros
19/05/2011 8,6738169 euros
18/05/2011 8,60134127 euros
17/05/2011 8,61805844 euros
16/05/2011 8,62984184 euros
15/05/2011 8,69426441 euros
14/05/2011 8,69483034 euros
13/05/2011 8,69539685 euros
12/05/2011 8,67736403 euros
11/05/2011 8,77797414 euros
10/05/2011 8,73998188 euros
09/05/2011 8,65939054 euros
08/05/2011 8,65481741 euros
07/05/2011 8,6553826 euros
06/05/2011 8,65594789 euros
05/05/2011 8,57637851 euros
04/05/2011 8,64463557 euros
03/05/2011 8,72221687 euros
02/05/2011 8,79242082 euros
01/05/2011 8,76072454 euros
30/04/2011 8,76128608 euros
29/04/2011 8,76184759 euros