Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

21/08/2011 18,55653502 euros
20/08/2011 18,55755478 euros
19/08/2011 18,55857237 euros
18/08/2011 18,9578549 euros
17/08/2011 20,03315828 euros
16/08/2011 19,96866967 euros
15/08/2011 19,82345492 euros
14/08/2011 19,82455281 euros
13/08/2011 19,82565283 euros
12/08/2011 19,82674627 euros
11/08/2011 19,0494498 euros
10/08/2011 18,52061402 euros
09/08/2011 19,7324624 euros
08/08/2011 19,68386053 euros
07/08/2011 20,42557388 euros
06/08/2011 20,42670268 euros
05/08/2011 20,42782971 euros
04/08/2011 20,73569358 euros
03/08/2011 21,47763164 euros
02/08/2011 21,89535937 euros
01/08/2011 22,32216959 euros
31/07/2011 22,95612556 euros
30/07/2011 22,95740444 euros
29/07/2011 22,9586846 euros
28/07/2011 23,15481877 euros
27/07/2011 23,16092694 euros
26/07/2011 23,5646734 euros
25/07/2011 23,59201153 euros
24/07/2011 23,84367891 euros
23/07/2011 23,84501204 euros
22/07/2011 23,84634227 euros
21/07/2011 23,76934679 euros
20/07/2011 23,27216467 euros
19/07/2011 22,86148847 euros
18/07/2011 22,56996641 euros
17/07/2011 23,02494825 euros
16/07/2011 23,02618589 euros
15/07/2011 23,02742355 euros
14/07/2011 23,20468595 euros
13/07/2011 23,37129053 euros
12/07/2011 23,17417269 euros
11/07/2011 23,31128498 euros
10/07/2011 24,01319446 euros
09/07/2011 24,01459777 euros
08/07/2011 24,01599051 euros
07/07/2011 24,48343071 euros
06/07/2011 24,36791681 euros
05/07/2011 24,5276323 euros
04/07/2011 24,6800398 euros
03/07/2011 24,72826675 euros