Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION EUROPA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

06/08/2010 4,62039215 euros
05/08/2010 4,67269417 euros
04/08/2010 4,68151364 euros
03/08/2010 4,68044206 euros
02/08/2010 4,68276458 euros
01/08/2010 4,55249088 euros
31/07/2010 4,55279536 euros
30/07/2010 4,55309993 euros
29/07/2010 4,55402951 euros
28/07/2010 4,58507355 euros
27/07/2010 4,58293817 euros
26/07/2010 4,54832454 euros
25/07/2010 4,51950205 euros
24/07/2010 4,5198044 euros
23/07/2010 4,52010674 euros
22/07/2010 4,48279364 euros
21/07/2010 4,39331468 euros
20/07/2010 4,3397994 euros
19/07/2010 4,33017975 euros
18/07/2010 4,35935288 euros
17/07/2010 4,35964393 euros
16/07/2010 4,35993504 euros
15/07/2010 4,4532163 euros
14/07/2010 4,5106147 euros
13/07/2010 4,51140534 euros
12/07/2010 4,43059912 euros
11/07/2010 4,42005643 euros
10/07/2010 4,4203524 euros
09/07/2010 4,42064838 euros
08/07/2010 4,39840719 euros
07/07/2010 4,34613376 euros
06/07/2010 4,2881323 euros
05/07/2010 4,17917856 euros
04/07/2010 4,18637662 euros
03/07/2010 4,18665738 euros
02/07/2010 4,18693815 euros
01/07/2010 4,17390197 euros
30/06/2010 4,28441808 euros
29/06/2010 4,30877039 euros
28/06/2010 4,4592975 euros
27/06/2010 4,39960819 euros
26/06/2010 4,39990416 euros
25/06/2010 4,40020013 euros
24/06/2010 4,43743299 euros
23/06/2010 4,53793998 euros
22/06/2010 4,57824378 euros
21/06/2010 4,59765217 euros
20/06/2010 4,54521952 euros
19/06/2010 4,5455236 euros
18/06/2010 4,54582774 euros