Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION EUROPA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

02/05/2013 5,19699725 euros
01/05/2013 5,17621478 euros
30/04/2013 5,16848984 euros
29/04/2013 5,19113891 euros
28/04/2013 5,16429531 euros
27/04/2013 5,16463628 euros
26/04/2013 5,16497725 euros
25/04/2013 5,1801783 euros
24/04/2013 5,13013701 euros
23/04/2013 5,07821734 euros
22/04/2013 4,96432846 euros
21/04/2013 4,95931599 euros
20/04/2013 4,95964375 euros
19/04/2013 4,95997151 euros
18/04/2013 4,93104302 euros
17/04/2013 4,94100143 euros
16/04/2013 5,02412786 euros
15/04/2013 5,06139605 euros
14/04/2013 5,10245406 euros
13/04/2013 5,10279043 euros
12/04/2013 5,10312681 euros
11/04/2013 5,14972891 euros
10/04/2013 5,11509849 euros
09/04/2013 5,01581807 euros
08/04/2013 5,00764063 euros
07/04/2013 4,99639194 euros
06/04/2013 4,99672217 euros
05/04/2013 4,99705241 euros
04/04/2013 5,08406723 euros
03/04/2013 5,13503262 euros
02/04/2013 5,18626537 euros
01/04/2013 5,1385302 euros
31/03/2013 5,13974367 euros
30/03/2013 5,14008348 euros
29/03/2013 5,14042332 euros
28/03/2013 5,13922717 euros
27/03/2013 5,12259438 euros
26/03/2013 5,14880398 euros
25/03/2013 5,13974738 euros
24/03/2013 5,16783857 euros
23/03/2013 5,16817796 euros
22/03/2013 5,16851737 euros
21/03/2013 5,18713835 euros
20/03/2013 5,22551649 euros
19/03/2013 5,19911661 euros
18/03/2013 5,23369517 euros
17/03/2013 5,26206077 euros
16/03/2013 5,26240669 euros
15/03/2013 5,26275263 euros
14/03/2013 5,28652133 euros