
Fondo: CAIXABANK BOLSA SELECCION EUROPA, FI CLASE ESTANDAR
Fecha |
Valor liquidativo |
---|---|
09/10/2011 | 7,12061172 euros |
08/10/2011 | 7,12107496 euros |
07/10/2011 | 7,12153893 euros |
06/10/2011 | 7,05900045 euros |
05/10/2011 | 6,90911494 euros |
04/10/2011 | 6,78121799 euros |
03/10/2011 | 6,89696112 euros |
02/10/2011 | 6,98475162 euros |
01/10/2011 | 6,98520099 euros |
30/09/2011 | 6,98565033 euros |
29/09/2011 | 7,09665659 euros |
28/09/2011 | 7,08445296 euros |
27/09/2011 | 7,0738105 euros |
26/09/2011 | 6,86242711 euros |
25/09/2011 | 6,69529127 euros |
24/09/2011 | 6,69572626 euros |
23/09/2011 | 6,69616171 euros |
22/09/2011 | 6,73436311 euros |
21/09/2011 | 7,02939024 euros |
20/09/2011 | 7,05852578 euros |
19/09/2011 | 7,00446936 euros |
18/09/2011 | 7,14709364 euros |
17/09/2011 | 7,14755684 euros |
16/09/2011 | 7,14802021 euros |
15/09/2011 | 7,10034534 euros |
14/09/2011 | 6,96576734 euros |
13/09/2011 | 6,85297702 euros |
12/09/2011 | 6,84219736 euros |
11/09/2011 | 7,04918395 euros |
10/09/2011 | 7,04964316 euros |
09/09/2011 | 7,05010264 euros |
08/09/2011 | 7,1443141 euros |
07/09/2011 | 7,08680436 euros |
06/09/2011 | 6,91724601 euros |
05/09/2011 | 6,97017206 euros |
04/09/2011 | 7,24372325 euros |
03/09/2011 | 7,24418748 euros |
02/09/2011 | 7,2446517 euros |
01/09/2011 | 7,35780201 euros |
31/08/2011 | 7,32757227 euros |
30/08/2011 | 7,16296778 euros |
29/08/2011 | 7,10614288 euros |
28/08/2011 | 6,98074264 euros |
27/08/2011 | 6,98118968 euros |
26/08/2011 | 6,9816368 euros |
25/08/2011 | 7,11621922 euros |
24/08/2011 | 7,12640602 euros |
23/08/2011 | 7,04520101 euros |
22/08/2011 | 7,01405821 euros |
21/08/2011 | 6,92610454 euros |