
Fondo: CAIXABANK ITER, FI CLASE EXTRA
Fecha |
Valor liquidativo |
---|---|
20/01/2012 | 5,99876024 euros |
19/01/2012 | 5,99608024 euros |
18/01/2012 | 5,98878354 euros |
17/01/2012 | 5,99410292 euros |
16/01/2012 | 5,98218126 euros |
15/01/2012 | 5,97532 euros |
14/01/2012 | 5,97497506 euros |
13/01/2012 | 5,97463059 euros |
12/01/2012 | 5,97501929 euros |
11/01/2012 | 5,96997007 euros |
10/01/2012 | 5,96739214 euros |
09/01/2012 | 5,95056119 euros |
08/01/2012 | 5,95657697 euros |
07/01/2012 | 5,95622371 euros |
06/01/2012 | 5,95587044 euros |
05/01/2012 | 5,95391673 euros |
04/01/2012 | 5,97294076 euros |
03/01/2012 | 5,98019063 euros |
02/01/2012 | 5,97062821 euros |
01/01/2012 | 5,95653656 euros |
31/12/2011 | 5,95617909 euros |
30/12/2011 | 5,95584688 euros |
29/12/2011 | 5,94547453 euros |
28/12/2011 | 5,93032939 euros |
27/12/2011 | 5,93471981 euros |
26/12/2011 | 5,93039238 euros |
25/12/2011 | 5,930036 euros |
24/12/2011 | 5,92967963 euros |
23/12/2011 | 5,92932311 euros |
22/12/2011 | 5,91966537 euros |
21/12/2011 | 5,9078561 euros |
20/12/2011 | 5,91759437 euros |
19/12/2011 | 5,90181811 euros |
18/12/2011 | 5,89735785 euros |
17/12/2011 | 5,89699654 euros |
16/12/2011 | 5,89663514 euros |
15/12/2011 | 5,89275351 euros |
14/12/2011 | 5,87558988 euros |
13/12/2011 | 5,88652112 euros |
12/12/2011 | 5,8795243 euros |
11/12/2011 | 5,8933959 euros |
10/12/2011 | 5,8930173 euros |
09/12/2011 | 5,89263882 euros |
08/12/2011 | 5,87739789 euros |
07/12/2011 | 5,89247589 euros |
06/12/2011 | 5,89870333 euros |
05/12/2011 | 5,90315442 euros |
04/12/2011 | 5,88073117 euros |
03/12/2011 | 5,88035167 euros |
02/12/2011 | 5,87997189 euros |