Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE ESPAÑA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

01/05/2007 8,39844432 euros
30/04/2007 8,38388826 euros
29/04/2007 8,40101931 euros
28/04/2007 8,40113287 euros
27/04/2007 8,40124622 euros
26/04/2007 8,52213404 euros
25/04/2007 8,52760709 euros
24/04/2007 8,50852346 euros
23/04/2007 8,74469705 euros
22/04/2007 8,79763188 euros
21/04/2007 8,79774433 euros
20/04/2007 8,79785675 euros
19/04/2007 8,65039907 euros
18/04/2007 8,67897131 euros
17/04/2007 8,73307847 euros
16/04/2007 8,76733197 euros
15/04/2007 8,73452764 euros
14/04/2007 8,73462997 euros
13/04/2007 8,73473227 euros
12/04/2007 8,68590462 euros
11/04/2007 8,75511642 euros
10/04/2007 8,75828174 euros
09/04/2007 8,72486292 euros
08/04/2007 8,72495531 euros
07/04/2007 8,7250477 euros
06/04/2007 8,72514009 euros
05/04/2007 8,72523249 euros
04/04/2007 8,70590443 euros
03/04/2007 8,71186599 euros
02/04/2007 8,58520615 euros
01/04/2007 8,5374361 euros
31/03/2007 8,53760985 euros
30/03/2007 8,53769213 euros
29/03/2007 8,51335711 euros
28/03/2007 8,44257533 euros
27/03/2007 8,47316968 euros
26/03/2007 8,43676342 euros
25/03/2007 8,50739343 euros
24/03/2007 8,50747665 euros
23/03/2007 8,50756026 euros
22/03/2007 8,44658487 euros
21/03/2007 8,34387107 euros
20/03/2007 8,35210653 euros
19/03/2007 8,31587221 euros
18/03/2007 8,15312182 euros
17/03/2007 8,15320835 euros
16/03/2007 8,15329526 euros
15/03/2007 8,13215115 euros
14/03/2007 7,93129406 euros
13/03/2007 8,15293161 euros