Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION EUROPA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

13/03/2013 5,22271878 euros
12/03/2013 5,22160659 euros
11/03/2013 5,21897073 euros
10/03/2013 5,22406314 euros
09/03/2013 5,22440481 euros
08/03/2013 5,22474538 euros
07/03/2013 5,17300749 euros
06/03/2013 5,16506187 euros
05/03/2013 5,17072228 euros
04/03/2013 5,06570122 euros
03/03/2013 5,08463736 euros
02/03/2013 5,08497145 euros
01/03/2013 5,08530555 euros
28/02/2013 5,11403626 euros
27/02/2013 5,07541788 euros
26/02/2013 5,02688527 euros
25/02/2013 5,10025441 euros
24/02/2013 5,0954562 euros
23/02/2013 5,09579076 euros
22/02/2013 5,09612501 euros
21/02/2013 5,04065482 euros
20/02/2013 5,13414199 euros
19/02/2013 5,14513263 euros
18/02/2013 5,09492444 euros
17/02/2013 5,10372416 euros
16/02/2013 5,10405956 euros
15/02/2013 5,10439497 euros
14/02/2013 5,11929487 euros
13/02/2013 5,11683601 euros
12/02/2013 5,08681951 euros
11/02/2013 5,04718974 euros
10/02/2013 5,07332124 euros
09/02/2013 5,07365408 euros
08/02/2013 5,07398698 euros
07/02/2013 5,01364275 euros
06/02/2013 5,03601546 euros
05/02/2013 5,03817278 euros
04/02/2013 5,02378478 euros
03/02/2013 5,11438992 euros
02/02/2013 5,11472532 euros
01/02/2013 5,11506081 euros
31/01/2013 5,10059325 euros
30/01/2013 5,11717247 euros
29/01/2013 5,17487661 euros
28/01/2013 5,1594967 euros
27/01/2013 5,16529779 euros
26/01/2013 5,16563792 euros
25/01/2013 5,16597807 euros
24/01/2013 5,15143516 euros
23/01/2013 5,13271726 euros