
Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE ESTANDAR
Fecha |
Valor liquidativo |
---|---|
04/12/2011 | 26,37642371 euros |
03/12/2011 | 26,37805761 euros |
02/12/2011 | 26,37969299 euros |
01/12/2011 | 25,94128005 euros |
30/11/2011 | 26,02312993 euros |
29/11/2011 | 25,05425347 euros |
28/11/2011 | 25,04984716 euros |
27/11/2011 | 23,9498862 euros |
26/11/2011 | 23,95138042 euros |
25/11/2011 | 23,95287452 euros |
24/11/2011 | 23,82191798 euros |
23/11/2011 | 23,86110392 euros |
22/11/2011 | 24,39108035 euros |
21/11/2011 | 24,77170991 euros |
20/11/2011 | 25,62974109 euros |
19/11/2011 | 25,63133521 euros |
18/11/2011 | 25,63293039 euros |
17/11/2011 | 25,49180492 euros |
16/11/2011 | 25,65342091 euros |
15/11/2011 | 25,45997115 euros |
14/11/2011 | 25,86173056 euros |
13/11/2011 | 26,43999599 euros |
12/11/2011 | 26,44164504 euros |
11/11/2011 | 26,44329368 euros |
10/11/2011 | 25,65751021 euros |
09/11/2011 | 25,78829092 euros |
08/11/2011 | 26,38811919 euros |
07/11/2011 | 26,31781594 euros |
06/11/2011 | 26,44225338 euros |
05/11/2011 | 26,44387486 euros |
04/11/2011 | 26,44549522 euros |
03/11/2011 | 26,78136564 euros |
02/11/2011 | 26,33501719 euros |
01/11/2011 | 26,46388493 euros |
31/10/2011 | 27,60543921 euros |
30/10/2011 | 28,50639358 euros |
29/10/2011 | 28,50813249 euros |
28/10/2011 | 28,50987699 euros |
27/10/2011 | 28,66778418 euros |
26/10/2011 | 27,26048448 euros |
25/10/2011 | 27,48625948 euros |
24/10/2011 | 27,69392737 euros |
23/10/2011 | 27,33146201 euros |
22/10/2011 | 27,33311741 euros |
21/10/2011 | 27,33477285 euros |
20/10/2011 | 26,66730072 euros |
19/10/2011 | 27,46219896 euros |
18/10/2011 | 27,30567784 euros |
17/10/2011 | 27,43976106 euros |
16/10/2011 | 27,56601253 euros |