Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE ESPAÑA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

18/08/2008 7,05063243 euros
17/08/2008 7,05747556 euros
16/08/2008 7,05760012 euros
15/08/2008 7,05772467 euros
14/08/2008 7,00689508 euros
13/08/2008 7,05932327 euros
12/08/2008 7,24191349 euros
11/08/2008 7,27275081 euros
10/08/2008 7,12364669 euros
09/08/2008 7,12377458 euros
08/08/2008 7,12390323 euros
07/08/2008 7,07336528 euros
06/08/2008 7,1095355 euros
05/08/2008 7,09566877 euros
04/08/2008 6,91450569 euros
03/08/2008 6,98693643 euros
02/08/2008 6,98704351 euros
01/08/2008 6,98715176 euros
31/07/2008 7,1521081 euros
30/07/2008 7,12108401 euros
29/07/2008 7,03532811 euros
28/07/2008 6,91265516 euros
27/07/2008 6,97551928 euros
26/07/2008 6,97562485 euros
25/07/2008 6,97572718 euros
24/07/2008 7,02824599 euros
23/07/2008 7,18543541 euros
22/07/2008 6,99226655 euros
21/07/2008 7,09448191 euros
20/07/2008 7,16320017 euros
19/07/2008 7,16330561 euros
18/07/2008 7,16342324 euros
17/07/2008 7,01319024 euros
16/07/2008 6,79821056 euros
15/07/2008 6,72166023 euros
14/07/2008 6,89300059 euros
13/07/2008 6,85701366 euros
12/07/2008 6,85709317 euros
11/07/2008 6,85717528 euros
10/07/2008 7,07069893 euros
09/07/2008 7,2133505 euros
08/07/2008 7,08260988 euros
07/07/2008 7,19260482 euros
06/07/2008 7,05603821 euros
05/07/2008 7,05612577 euros
04/07/2008 7,05621843 euros
03/07/2008 7,19203626 euros
02/07/2008 7,11011788 euros
01/07/2008 7,05576293 euros
30/06/2008 7,19858111 euros