Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE ESPAÑA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

07/09/2010 6,87212135 euros
06/09/2010 6,96589008 euros
05/09/2010 6,95057735 euros
04/09/2010 6,95085359 euros
03/09/2010 6,95112986 euros
02/09/2010 6,91220415 euros
01/09/2010 6,91406185 euros
31/08/2010 6,67868331 euros
30/08/2010 6,64572671 euros
29/08/2010 6,65671831 euros
28/08/2010 6,65698245 euros
27/08/2010 6,65724686 euros
26/08/2010 6,56212688 euros
25/08/2010 6,48974868 euros
24/08/2010 6,59498191 euros
23/08/2010 6,70362745 euros
22/08/2010 6,62210203 euros
21/08/2010 6,62236191 euros
20/08/2010 6,62262183 euros
19/08/2010 6,71549748 euros
18/08/2010 6,81713345 euros
17/08/2010 6,80423088 euros
16/08/2010 6,73138396 euros
15/08/2010 6,74098238 euros
14/08/2010 6,74124523 euros
13/08/2010 6,74150805 euros
12/08/2010 6,78761241 euros
11/08/2010 6,8083855 euros
10/08/2010 7,03317812 euros
09/08/2010 7,09494282 euros
08/08/2010 6,99015167 euros
07/08/2010 6,99043012 euros
06/08/2010 6,99070824 euros
05/08/2010 7,11463847 euros
04/08/2010 7,11474081 euros
03/08/2010 7,135904 euros
02/08/2010 7,11210756 euros
01/08/2010 6,87178822 euros
31/07/2010 6,87205973 euros
30/07/2010 6,87233187 euros
29/07/2010 6,97803172 euros
28/07/2010 6,96699529 euros
27/07/2010 6,97022133 euros
26/07/2010 6,87806741 euros
25/07/2010 6,8023673 euros
24/07/2010 6,80262956 euros
23/07/2010 6,80289183 euros
22/07/2010 6,74618172 euros
21/07/2010 6,57465825 euros
20/07/2010 6,59009759 euros