Fondos liquidativos

Fondo: CAIXABANK BOLSA ESPAÑA 150, FI, CLASE ESTANDAR

Fecha

Valor liquidativo

11/06/2009 4,72546433 euros
10/06/2009 4,66648226 euros
09/06/2009 4,57342166 euros
08/06/2009 4,49945356 euros
07/06/2009 4,59065516 euros
06/06/2009 4,59094638 euros
05/06/2009 4,59123859 euros
04/06/2009 4,54333377 euros
03/06/2009 4,55422427 euros
02/06/2009 4,71939661 euros
01/06/2009 4,68748595 euros
31/05/2009 4,54095531 euros
30/05/2009 4,54121777 euros
29/05/2009 4,54148789 euros
28/05/2009 4,54635791 euros
27/05/2009 4,60814543 euros
26/05/2009 4,52807549 euros
25/05/2009 4,49113796 euros
24/05/2009 4,46017521 euros
23/05/2009 4,460449 euros
22/05/2009 4,46071876 euros
21/05/2009 4,3954666 euros
20/05/2009 4,51714482 euros
19/05/2009 4,47681 euros
18/05/2009 4,34802713 euros
17/05/2009 4,2210057 euros
16/05/2009 4,22126539 euros
15/05/2009 4,22152525 euros
14/05/2009 4,2234147 euros
13/05/2009 4,23213435 euros
12/05/2009 4,42900602 euros
11/05/2009 4,41520362 euros
10/05/2009 4,48017417 euros
09/05/2009 4,48046121 euros
08/05/2009 4,48075691 euros
07/05/2009 4,35737396 euros
06/05/2009 4,35212411 euros
05/05/2009 4,28122413 euros
04/05/2009 4,24018368 euros
03/05/2009 4,16897217 euros
02/05/2009 4,16923615 euros
01/05/2009 4,16950015 euros
30/04/2009 4,16976412 euros
29/04/2009 4,07653741 euros
28/04/2009 3,91654409 euros
27/04/2009 4,0021994 euros
26/04/2009 4,08216124 euros
25/04/2009 4,08240961 euros
24/04/2009 4,08265807 euros
23/04/2009 4,00086918 euros