
Fondo: CAIXABANK BOLSA SELECCION EUROPA, FI CLASE ESTANDAR
Fecha |
Valor liquidativo |
---|---|
01/02/2011 | 8,73607458 euros |
31/01/2011 | 8,6151504 euros |
30/01/2011 | 8,67441366 euros |
29/01/2011 | 8,67496253 euros |
28/01/2011 | 8,67551015 euros |
27/01/2011 | 8,7356061 euros |
26/01/2011 | 8,70279522 euros |
25/01/2011 | 8,6343147 euros |
24/01/2011 | 8,65316866 euros |
23/01/2011 | 8,67907642 euros |
22/01/2011 | 8,67963839 euros |
21/01/2011 | 8,68019993 euros |
20/01/2011 | 8,63175161 euros |
19/01/2011 | 8,77721947 euros |
18/01/2011 | 8,86375709 euros |
17/01/2011 | 8,79573081 euros |
16/01/2011 | 8,77232944 euros |
15/01/2011 | 8,77290383 euros |
14/01/2011 | 8,77347808 euros |
13/01/2011 | 8,80352581 euros |
12/01/2011 | 8,8630964 euros |
11/01/2011 | 8,76487606 euros |
10/01/2011 | 8,65429687 euros |
09/01/2011 | 8,73612498 euros |
08/01/2011 | 8,73669657 euros |
07/01/2011 | 8,73726796 euros |
06/01/2011 | 8,68917307 euros |
05/01/2011 | 8,68973953 euros |
04/01/2011 | 8,71493282 euros |
03/01/2011 | 8,65163949 euros |
02/01/2011 | 8,56820753 euros |
01/01/2011 | 8,56876871 euros |
31/12/2010 | 8,56933001 euros |
30/12/2010 | 8,6158245 euros |
29/12/2010 | 8,6903564 euros |
28/12/2010 | 8,66686239 euros |
27/12/2010 | 8,65085374 euros |
26/12/2010 | 8,6939589 euros |
25/12/2010 | 8,69452937 euros |
24/12/2010 | 8,69509988 euros |
23/12/2010 | 8,7288856 euros |
22/12/2010 | 8,72323234 euros |
21/12/2010 | 8,70073299 euros |
20/12/2010 | 8,63672124 euros |
19/12/2010 | 8,58581603 euros |
18/12/2010 | 8,58637814 euros |
17/12/2010 | 8,58694022 euros |
16/12/2010 | 8,59118203 euros |
15/12/2010 | 8,58450222 euros |
14/12/2010 | 8,59589014 euros |