Fondos liquidativos

Fondo: CAIXABANK BOLSA SELECCION JAPON, FI CLASE ESTANDAR

Fecha

Valor liquidativo

12/08/2005 5,08902909 euros
11/08/2005 5,06420713 euros
10/08/2005 4,98302456 euros
09/08/2005 4,85510496 euros
08/08/2005 4,82035622 euros
07/08/2005 4,81463834 euros
06/08/2005 4,81491856 euros
05/08/2005 4,81519877 euros
04/08/2005 4,8913285 euros
03/08/2005 4,94781616 euros
02/08/2005 4,96509292 euros
01/08/2005 4,94656106 euros
31/07/2005 4,95131023 euros
30/07/2005 4,95160847 euros
29/07/2005 4,95190671 euros
28/07/2005 4,93161268 euros
27/07/2005 4,9588492 euros
26/07/2005 4,93251116 euros
25/07/2005 4,93757405 euros
24/07/2005 4,9077731 euros
23/07/2005 4,90805711 euros
22/07/2005 4,90834113 euros
21/07/2005 4,93764447 euros
20/07/2005 4,88887415 euros
19/07/2005 4,92638089 euros
18/07/2005 4,92306461 euros
17/07/2005 4,91923324 euros
16/07/2005 4,91951754 euros
15/07/2005 4,91980185 euros
14/07/2005 4,92340794 euros
13/07/2005 4,87078122 euros
12/07/2005 4,89302999 euros
11/07/2005 4,92041059 euros
10/07/2005 4,89729121 euros
09/07/2005 4,89757278 euros
08/07/2005 4,89785436 euros
07/07/2005 4,91774006 euros
06/07/2005 4,93333898 euros
05/07/2005 4,94632322 euros
04/07/2005 4,97146621 euros
03/07/2005 4,91435548 euros
02/07/2005 4,91463937 euros
01/07/2005 4,91492327 euros
30/06/2005 4,89741249 euros
29/06/2005 4,92818549 euros
28/06/2005 4,90886995 euros
27/06/2005 4,8689455 euros
26/06/2005 4,95198826 euros
25/06/2005 4,95227221 euros
24/06/2005 4,95255611 euros