Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

07/02/2011 34,30701212 euros
06/02/2011 33,8723909 euros
05/02/2011 33,87457124 euros
04/02/2011 33,87675185 euros
03/02/2011 33,92301611 euros
02/02/2011 34,2500371 euros
01/02/2011 34,14730843 euros
31/01/2011 33,50145751 euros
30/01/2011 33,40572033 euros
29/01/2011 33,40779309 euros
28/01/2011 33,40986584 euros
27/01/2011 33,71557588 euros
26/01/2011 33,2534583 euros
25/01/2011 33,24433839 euros
24/01/2011 33,80961289 euros
23/01/2011 33,82822301 euros
22/01/2011 33,83031355 euros
21/01/2011 33,83240482 euros
20/01/2011 33,21407569 euros
19/01/2011 33,12272058 euros
18/01/2011 33,4512 euros
17/01/2011 32,5799606 euros
16/01/2011 32,93152853 euros
15/01/2011 32,93364124 euros
14/01/2011 32,93575439 euros
13/01/2011 32,8545197 euros
12/01/2011 32,0987944 euros
11/01/2011 30,46609385 euros
10/01/2011 29,92054966 euros
09/01/2011 30,42230744 euros
08/01/2011 30,42426065 euros
07/01/2011 30,42621407 euros
06/01/2011 30,84933861 euros
05/01/2011 30,85130919 euros
04/01/2011 31,12062577 euros
03/01/2011 30,94518409 euros
02/01/2011 30,6482114 euros
01/01/2011 30,65018475 euros
31/12/2010 30,65215822 euros
30/12/2010 30,65887392 euros
29/12/2010 31,0600484 euros
28/12/2010 30,75434896 euros
27/12/2010 30,71303684 euros
26/12/2010 31,54420023 euros
25/12/2010 31,54620543 euros
24/12/2010 31,54821077 euros
23/12/2010 31,55021625 euros
22/12/2010 31,80101859 euros
21/12/2010 31,84342455 euros
20/12/2010 31,19565566 euros