
Fondo: CAIXABANK ITER, FI CLASE EXTRA
Fecha |
Valor liquidativo |
---|---|
01/12/2011 | 5,86285708 euros |
30/11/2011 | 5,85066907 euros |
29/11/2011 | 5,803196 euros |
28/11/2011 | 5,79856579 euros |
27/11/2011 | 5,76250318 euros |
26/11/2011 | 5,76211016 euros |
25/11/2011 | 5,76171882 euros |
24/11/2011 | 5,75829303 euros |
23/11/2011 | 5,77016151 euros |
22/11/2011 | 5,79512991 euros |
21/11/2011 | 5,80854135 euros |
20/11/2011 | 5,83770884 euros |
19/11/2011 | 5,83733169 euros |
18/11/2011 | 5,83695537 euros |
17/11/2011 | 5,83974309 euros |
16/11/2011 | 5,85464534 euros |
15/11/2011 | 5,85737942 euros |
14/11/2011 | 5,87400139 euros |
13/11/2011 | 5,88536917 euros |
12/11/2011 | 5,88501751 euros |
11/11/2011 | 5,88466612 euros |
10/11/2011 | 5,86767513 euros |
09/11/2011 | 5,87029603 euros |
08/11/2011 | 5,89117289 euros |
07/11/2011 | 5,88915241 euros |
06/11/2011 | 5,88994307 euros |
05/11/2011 | 5,88962284 euros |
04/11/2011 | 5,88930335 euros |
03/11/2011 | 5,9031523 euros |
02/11/2011 | 5,88753745 euros |
01/11/2011 | 5,87531168 euros |
31/10/2011 | 5,9130006 euros |
30/10/2011 | 5,92837584 euros |
29/10/2011 | 5,92806715 euros |
28/10/2011 | 5,92776015 euros |
27/10/2011 | 5,93398123 euros |
26/10/2011 | 5,89841556 euros |
25/10/2011 | 5,88869092 euros |
24/10/2011 | 5,89026006 euros |
23/10/2011 | 5,88349875 euros |
22/10/2011 | 5,88319206 euros |
21/10/2011 | 5,88288768 euros |
20/10/2011 | 5,8602295 euros |
19/10/2011 | 5,88214111 euros |
18/10/2011 | 5,86982689 euros |
17/10/2011 | 5,88087114 euros |
16/10/2011 | 5,88646053 euros |
15/10/2011 | 5,88614493 euros |
14/10/2011 | 5,88582943 euros |
13/10/2011 | 5,88438061 euros |