Fondos liquidativos

Fondo: CAIXABANK ITER, FI CLASE EXTRA

Fecha

Valor liquidativo

16/12/2010 5,91691629 euros
15/12/2010 5,91754729 euros
14/12/2010 5,91970505 euros
13/12/2010 5,92392047 euros
12/12/2010 5,93130519 euros
11/12/2010 5,93095423 euros
10/12/2010 5,93060402 euros
09/12/2010 5,93463651 euros
08/12/2010 5,94449686 euros
07/12/2010 5,94414784 euros
06/12/2010 5,94390539 euros
05/12/2010 5,94356594 euros
04/12/2010 5,94321986 euros
03/12/2010 5,94287389 euros
02/12/2010 5,94305563 euros
01/12/2010 5,95800998 euros
30/11/2010 5,96918322 euros
29/11/2010 5,97401675 euros
28/11/2010 5,97937625 euros
27/11/2010 5,97901236 euros
26/11/2010 5,97864893 euros
25/11/2010 5,9755422 euros
24/11/2010 5,97846655 euros
23/11/2010 5,99283468 euros
22/11/2010 5,98435859 euros
21/11/2010 5,97778369 euros
20/11/2010 5,97744416 euros
19/11/2010 5,97710544 euros
18/11/2010 5,98182428 euros
17/11/2010 5,99094556 euros
16/11/2010 5,98830349 euros
15/11/2010 5,99240725 euros
14/11/2010 5,99563791 euros
13/11/2010 5,99530888 euros
12/11/2010 5,99498062 euros
11/11/2010 6,00286482 euros
10/11/2010 6,00485375 euros
09/11/2010 6,00176453 euros
08/11/2010 6,01092002 euros
07/11/2010 6,01742368 euros
06/11/2010 6,0171185 euros
05/11/2010 6,01681364 euros
04/11/2010 6,01924495 euros
03/11/2010 6,02188193 euros
02/11/2010 6,00960046 euros
01/11/2010 6,00094632 euros
31/10/2010 6,00068794 euros
30/10/2010 6,00038765 euros
29/10/2010 6,00005522 euros
28/10/2010 5,99828862 euros