Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

23/01/2012 27,4824367 euros
22/01/2012 27,23687831 euros
21/01/2012 27,23864848 euros
20/01/2012 27,2404192 euros
19/01/2012 27,32035172 euros
18/01/2012 26,6694403 euros
17/01/2012 26,94590075 euros
16/01/2012 26,68708636 euros
15/01/2012 26,57098508 euros
14/01/2012 26,57270431 euros
13/01/2012 26,57442363 euros
12/01/2012 26,45387707 euros
11/01/2012 26,40261075 euros
10/01/2012 26,41619907 euros
09/01/2012 25,67430752 euros
08/01/2012 25,76069413 euros
07/01/2012 25,76236809 euros
06/01/2012 25,76404214 euros
05/01/2012 25,89755804 euros
04/01/2012 26,66894524 euros
03/01/2012 27,18567239 euros
02/01/2012 27,04955131 euros
01/01/2012 26,50677595 euros
31/12/2011 26,50847839 euros
30/12/2011 26,51018596 euros
29/12/2011 26,24864178 euros
28/12/2011 25,81515188 euros
27/12/2011 26,33289126 euros
26/12/2011 26,35423298 euros
25/12/2011 26,35594403 euros
24/12/2011 26,35765559 euros
23/12/2011 26,35936724 euros
22/12/2011 26,11515238 euros
21/12/2011 25,84387421 euros
20/12/2011 26,02840671 euros
19/12/2011 25,36508941 euros
18/12/2011 25,25197572 euros
17/12/2011 25,25355358 euros
16/12/2011 25,25513148 euros
15/12/2011 25,37432344 euros
14/12/2011 25,15653921 euros
13/12/2011 25,56181222 euros
12/12/2011 25,82649368 euros
11/12/2011 26,57424718 euros
10/12/2011 26,57588583 euros
09/12/2011 26,57752497 euros
08/12/2011 26,08637745 euros
07/12/2011 26,67381155 euros
06/12/2011 26,88054915 euros
05/12/2011 26,82098224 euros