Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

13/04/2010 31,49100458 euros
12/04/2010 31,61078888 euros
11/04/2010 31,59238419 euros
10/04/2010 31,59434805 euros
09/04/2010 31,59631252 euros
08/04/2010 30,82933185 euros
07/04/2010 31,12637627 euros
06/04/2010 31,09440875 euros
05/04/2010 30,79853848 euros
04/04/2010 30,80044364 euros
03/04/2010 30,80234889 euros
02/04/2010 30,8042543 euros
01/04/2010 30,80616286 euros
31/03/2010 30,2320697 euros
30/03/2010 30,47827478 euros
29/03/2010 30,81028601 euros
28/03/2010 30,77025264 euros
27/03/2010 30,77216392 euros
26/03/2010 30,77407529 euros
25/03/2010 30,83114133 euros
24/03/2010 30,25190936 euros
23/03/2010 30,35063241 euros
22/03/2010 29,81595235 euros
21/03/2010 30,14941431 euros
20/03/2010 30,15127279 euros
19/03/2010 30,15313138 euros
18/03/2010 30,181673 euros
17/03/2010 30,32315615 euros
16/03/2010 29,78827082 euros
15/03/2010 29,36955469 euros
14/03/2010 29,52948418 euros
13/03/2010 29,53130839 euros
12/03/2010 29,5331328 euros
11/03/2010 29,3432896 euros
10/03/2010 29,50718639 euros
09/03/2010 29,21238456 euros
08/03/2010 29,33434014 euros
07/03/2010 29,28251717 euros
06/03/2010 29,28433555 euros
05/03/2010 29,28615398 euros
04/03/2010 28,60703645 euros
03/03/2010 28,42086102 euros
02/03/2010 27,98531595 euros
01/03/2010 27,68725923 euros
28/02/2010 27,40935581 euros
27/02/2010 27,41106899 euros
26/02/2010 27,4127826 euros
25/02/2010 26,95604592 euros
24/02/2010 27,49895573 euros
23/02/2010 27,67996152 euros