
Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE ESTANDAR
Fecha |
Valor liquidativo |
---|---|
22/02/2010 | 28,25452016 euros |
21/02/2010 | 28,55705412 euros |
20/02/2010 | 28,55883488 euros |
19/02/2010 | 28,56061583 euros |
18/02/2010 | 28,24572153 euros |
17/02/2010 | 28,20278127 euros |
16/02/2010 | 27,71431985 euros |
15/02/2010 | 27,43704142 euros |
14/02/2010 | 27,27895682 euros |
13/02/2010 | 27,28066739 euros |
12/02/2010 | 27,28237818 euros |
11/02/2010 | 27,57995142 euros |
10/02/2010 | 28,06756985 euros |
09/02/2010 | 27,48398898 euros |
08/02/2010 | 27,21694361 euros |
07/02/2010 | 27,17819465 euros |
06/02/2010 | 27,17989687 euros |
05/02/2010 | 27,18159935 euros |
04/02/2010 | 27,83276178 euros |
03/02/2010 | 29,74531783 euros |
02/02/2010 | 30,28415061 euros |
01/02/2010 | 29,91808773 euros |
31/01/2010 | 29,64651222 euros |
30/01/2010 | 29,64836184 euros |
29/01/2010 | 29,65021158 euros |
28/01/2010 | 29,36022358 euros |
27/01/2010 | 29,8587104 euros |
26/01/2010 | 30,62776434 euros |
25/01/2010 | 30,37720999 euros |
24/01/2010 | 30,64302744 euros |
23/01/2010 | 30,64494366 euros |
22/01/2010 | 30,64685964 euros |
21/01/2010 | 30,97638076 euros |
20/01/2010 | 31,67382719 euros |
19/01/2010 | 32,52563753 euros |
18/01/2010 | 32,22037124 euros |
17/01/2010 | 32,11133157 euros |
16/01/2010 | 32,11333742 euros |
15/01/2010 | 32,11534376 euros |
14/01/2010 | 32,49918454 euros |
13/01/2010 | 32,28990547 euros |
12/01/2010 | 32,24923694 euros |
11/01/2010 | 32,57501127 euros |
10/01/2010 | 32,80664714 euros |
09/01/2010 | 32,8086851 euros |
08/01/2010 | 32,81072325 euros |
07/01/2010 | 32,63684998 euros |
06/01/2010 | 32,59048611 euros |
05/01/2010 | 32,59250141 euros |
04/01/2010 | 32,38058164 euros |