Fondos liquidativos

Fondo: CAIXABANK BOLSA SELECCION JAPON, FI CLASE ESTANDAR

Fecha

Valor liquidativo

15/03/2005 4,8003244 euros
14/03/2005 4,79293525 euros
13/03/2005 4,84057466 euros
12/03/2005 4,84082682 euros
11/03/2005 4,84107896 euros
10/03/2005 4,817819 euros
09/03/2005 4,87579715 euros
08/03/2005 4,846888 euros
07/03/2005 4,87181622 euros
06/03/2005 4,87261616 euros
05/03/2005 4,87287375 euros
04/03/2005 4,87313129 euros
03/03/2005 4,88096835 euros
02/03/2005 4,87686512 euros
01/03/2005 4,85316328 euros
28/02/2005 4,8317766 euros
27/02/2005 4,77130222 euros
26/02/2005 4,77154393 euros
25/02/2005 4,7717856 euros
24/02/2005 4,71694634 euros
23/02/2005 4,72119722 euros
22/02/2005 4,79100814 euros
21/02/2005 4,81174034 euros
20/02/2005 4,81243838 euros
19/02/2005 4,81268569 euros
18/02/2005 4,81293298 euros
17/02/2005 4,78088841 euros
16/02/2005 4,81796501 euros
15/02/2005 4,86063057 euros
14/02/2005 4,85899764 euros
13/02/2005 4,82506691 euros
12/02/2005 4,82530848 euros
11/02/2005 4,82555004 euros
10/02/2005 4,82884409 euros
09/02/2005 4,83643944 euros
08/02/2005 4,84508471 euros
07/02/2005 4,88241963 euros
06/02/2005 4,79865389 euros
05/02/2005 4,79889628 euros
04/02/2005 4,79913868 euros
03/02/2005 4,7813373 euros
02/02/2005 4,7998089 euros
01/02/2005 4,79073382 euros
31/01/2005 4,80036929 euros
30/01/2005 4,77805046 euros
29/01/2005 4,77829329 euros
28/01/2005 4,77853611 euros
27/01/2005 4,79894574 euros
26/01/2005 4,81658745 euros
25/01/2005 4,75986348 euros