Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

02/07/2011 24,7297022 euros
01/07/2011 24,73113824 euros
30/06/2011 24,50022409 euros
29/06/2011 24,10556737 euros
28/06/2011 23,65977586 euros
27/06/2011 23,43139528 euros
26/06/2011 23,36625805 euros
25/06/2011 23,36761069 euros
24/06/2011 23,36896373 euros
23/06/2011 23,49762923 euros
22/06/2011 24,05555369 euros
21/06/2011 24,1134513 euros
20/06/2011 23,65078626 euros
19/06/2011 23,82900648 euros
18/06/2011 23,83032973 euros
17/06/2011 23,83165337 euros
16/06/2011 23,48784481 euros
15/06/2011 23,49847763 euros
14/06/2011 23,91604226 euros
13/06/2011 23,5243962 euros
12/06/2011 23,50812398 euros
11/06/2011 23,50939527 euros
10/06/2011 23,51067167 euros
09/06/2011 23,87783753 euros
08/06/2011 23,65640694 euros
07/06/2011 23,85266839 euros
06/06/2011 23,77533172 euros
05/06/2011 23,96765696 euros
04/06/2011 23,96898265 euros
03/06/2011 23,97030946 euros
02/06/2011 23,92074796 euros
01/06/2011 24,31103045 euros
31/05/2011 24,60392421 euros
30/05/2011 24,17834293 euros
29/05/2011 24,21798166 euros
28/05/2011 24,21924204 euros
27/05/2011 24,22050878 euros
26/05/2011 24,04380997 euros
25/05/2011 24,17750344 euros
24/05/2011 24,04410092 euros
23/05/2011 23,99078154 euros
22/05/2011 24,41249634 euros
21/05/2011 24,41370905 euros
20/05/2011 24,41492178 euros
19/05/2011 24,68969828 euros
18/05/2011 24,4969499 euros
17/05/2011 24,35368582 euros
16/05/2011 24,61278249 euros
15/05/2011 24,68848477 euros
14/05/2011 24,68971055 euros