Fondos liquidativos

Fondo: CAIXABANK BOLSA SELECCION EMERGENTES, FI CLASE ESTANDAR

Fecha

Valor liquidativo

07/08/2011 6,89805 euros
06/08/2011 6,89846139 euros
05/08/2011 6,8988732 euros
04/08/2011 7,13094495 euros
03/08/2011 7,26593518 euros
02/08/2011 7,48080013 euros
01/08/2011 7,58849309 euros
31/07/2011 7,45785813 euros
30/07/2011 7,45830112 euros
29/07/2011 7,4587443 euros
28/07/2011 7,54373378 euros
27/07/2011 7,51064585 euros
26/07/2011 7,48056929 euros
25/07/2011 7,50963287 euros
24/07/2011 7,5347588 euros
23/07/2011 7,53520764 euros
22/07/2011 7,53565634 euros
21/07/2011 7,45954166 euros
20/07/2011 7,51751043 euros
19/07/2011 7,47971318 euros
18/07/2011 7,5056974 euros
17/07/2011 7,53204101 euros
16/07/2011 7,53248253 euros
15/07/2011 7,53292398 euros
14/07/2011 7,55401655 euros
13/07/2011 7,52576279 euros
12/07/2011 7,5554388 euros
11/07/2011 7,67131009 euros
10/07/2011 7,66940297 euros
09/07/2011 7,66986387 euros
08/07/2011 7,67032454 euros
07/07/2011 7,65394616 euros
06/07/2011 7,59532853 euros
05/07/2011 7,56395459 euros
04/07/2011 7,54766822 euros
03/07/2011 7,44679666 euros
02/07/2011 7,447239 euros
01/07/2011 7,44768158 euros
30/06/2011 7,39624957 euros
29/06/2011 7,35713998 euros
28/06/2011 7,2980685 euros
27/06/2011 7,28995424 euros
26/06/2011 7,34797561 euros
25/06/2011 7,34841544 euros
24/06/2011 7,34885694 euros
23/06/2011 7,2967961 euros
22/06/2011 7,23438691 euros
21/06/2011 7,23302789 euros
20/06/2011 7,18194827 euros
19/06/2011 7,23183098 euros