Fondos liquidativos

Fondo: CAIXABANK BOLSA SELECCION JAPON, FI CLASE ESTANDAR

Fecha

Valor liquidativo

13/05/2011 3,84272752 euros
12/05/2011 3,86097164 euros
11/05/2011 3,87024923 euros
10/05/2011 3,85916395 euros
09/05/2011 3,85702163 euros
08/05/2011 3,82332667 euros
07/05/2011 3,82357922 euros
06/05/2011 3,82383145 euros
05/05/2011 3,83353652 euros
04/05/2011 3,75056882 euros
03/05/2011 3,74421274 euros
02/05/2011 3,73127787 euros
01/05/2011 3,70749297 euros
30/04/2011 3,70773526 euros
29/04/2011 3,70797757 euros
28/04/2011 3,68473769 euros
27/04/2011 3,62794656 euros
26/04/2011 3,64132465 euros
25/04/2011 3,66873375 euros
24/04/2011 3,66895338 euros
23/04/2011 3,66919323 euros
22/04/2011 3,6694331 euros
21/04/2011 3,6696527 euros
20/04/2011 3,64488682 euros
19/04/2011 3,6521377 euros
18/04/2011 3,70388985 euros
17/04/2011 3,64249452 euros
16/04/2011 3,64273227 euros
15/04/2011 3,64296889 euros
14/04/2011 3,64660512 euros
13/04/2011 3,62289539 euros
12/04/2011 3,59809397 euros
11/04/2011 3,62471316 euros
10/04/2011 3,61860335 euros
09/04/2011 3,61883926 euros
08/04/2011 3,61907529 euros
07/04/2011 3,60434526 euros
06/04/2011 3,58859336 euros
05/04/2011 3,67366339 euros
04/04/2011 3,75623799 euros
03/04/2011 3,77164622 euros
02/04/2011 3,77188811 euros
01/04/2011 3,77213003 euros
31/03/2011 3,84059616 euros
30/03/2011 3,85968524 euros
29/03/2011 3,82182417 euros
28/03/2011 3,84184701 euros
27/03/2011 3,85776627 euros
26/03/2011 3,858013 euros
25/03/2011 3,85825968 euros