Fondos liquidativos

Fondo: CAIXABANK ITER, FI CLASE EXTRA

Fecha

Valor liquidativo

26/03/2011 5,95747516 euros
25/03/2011 5,9571171 euros
24/03/2011 5,95840199 euros
23/03/2011 5,94775461 euros
22/03/2011 5,94109449 euros
21/03/2011 5,93965877 euros
20/03/2011 5,93091253 euros
19/03/2011 5,93056428 euros
18/03/2011 5,93021614 euros
17/03/2011 5,93164169 euros
16/03/2011 5,92139218 euros
15/03/2011 5,93447834 euros
14/03/2011 5,94789286 euros
13/03/2011 5,96191071 euros
12/03/2011 5,96153851 euros
11/03/2011 5,96116545 euros
10/03/2011 5,96553816 euros
09/03/2011 5,9683444 euros
08/03/2011 5,96568743 euros
07/03/2011 5,95700521 euros
06/03/2011 5,96337488 euros
05/03/2011 5,96296979 euros
04/03/2011 5,96256233 euros
03/03/2011 5,96359204 euros
02/03/2011 5,9835201 euros
01/03/2011 5,98797391 euros
28/02/2011 5,99420647 euros
27/02/2011 5,98373983 euros
26/02/2011 5,98330842 euros
25/02/2011 5,98287745 euros
24/02/2011 5,97321493 euros
23/02/2011 5,9781685 euros
22/02/2011 5,98618508 euros
21/02/2011 5,99602679 euros
20/02/2011 6,00448831 euros
19/02/2011 6,0040764 euros
18/02/2011 6,00366491 euros
17/02/2011 6,00982675 euros
16/02/2011 5,99670593 euros
15/02/2011 5,98479669 euros
14/02/2011 5,98279439 euros
13/02/2011 5,97750453 euros
12/02/2011 5,97711 euros
11/02/2011 5,97671707 euros
10/02/2011 5,97350638 euros
09/02/2011 5,96945396 euros
08/02/2011 5,97419262 euros
07/02/2011 5,9764471 euros
06/02/2011 5,96449136 euros
05/02/2011 5,96410742 euros