Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE ESPAÑA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

15/11/2012 5,66059688 euros
14/11/2012 5,64431378 euros
13/11/2012 5,66116917 euros
12/11/2012 5,56597565 euros
11/11/2012 5,61791824 euros
10/11/2012 5,61815056 euros
09/11/2012 5,61838289 euros
08/11/2012 5,60918549 euros
07/11/2012 5,62795618 euros
06/11/2012 5,76095634 euros
05/11/2012 5,74844593 euros
04/11/2012 5,85427822 euros
03/11/2012 5,85451928 euros
02/11/2012 5,85476037 euros
01/11/2012 5,79016039 euros
31/10/2012 5,76000739 euros
30/10/2012 5,7528935 euros
29/10/2012 5,67583643 euros
28/10/2012 5,70941323 euros
27/10/2012 5,70964879 euros
26/10/2012 5,70988436 euros
25/10/2012 5,71524851 euros
24/10/2012 5,72450616 euros
23/10/2012 5,69359885 euros
22/10/2012 5,78513158 euros
21/10/2012 5,81067602 euros
20/10/2012 5,81090562 euros
19/10/2012 5,81113524 euros
18/10/2012 5,95385007 euros
17/10/2012 5,97515374 euros
16/10/2012 5,80771682 euros
15/10/2012 5,61419283 euros
14/10/2012 5,59985731 euros
13/10/2012 5,60008601 euros
12/10/2012 5,60031359 euros
11/10/2012 5,65668398 euros
10/10/2012 5,6112884 euros
09/10/2012 5,66438749 euros
08/10/2012 5,77308449 euros
07/10/2012 5,81907519 euros
06/10/2012 5,81931441 euros
05/10/2012 5,81955367 euros
04/10/2012 5,71037542 euros
03/10/2012 5,72417348 euros
02/10/2012 5,75471902 euros
01/10/2012 5,69776922 euros
30/09/2012 5,63530317 euros
29/09/2012 5,63552882 euros
28/09/2012 5,63575449 euros
27/09/2012 5,73112462 euros