Fondos liquidativos

Fondo: CAIXABANK SI IMPACTO 0/30 RV, FI CLASE ESTANDAR

Fecha

Valor liquidativo

15/06/2012 13,7778781 euros
14/06/2012 13,74858906 euros
13/06/2012 13,73194944 euros
12/06/2012 13,7637202 euros
11/06/2012 13,7805186 euros
10/06/2012 13,80553898 euros
09/06/2012 13,80540084 euros
08/06/2012 13,8052632 euros
07/06/2012 13,8019544 euros
06/06/2012 13,78676092 euros
05/06/2012 13,74840178 euros
04/06/2012 13,72590134 euros
03/06/2012 13,73688577 euros
02/06/2012 13,7366604 euros
01/06/2012 13,73641671 euros
31/05/2012 13,78003996 euros
30/05/2012 13,76992133 euros
29/05/2012 13,81440813 euros
28/05/2012 13,79377019 euros
27/05/2012 13,80184733 euros
26/05/2012 13,80160603 euros
25/05/2012 13,80136479 euros
24/05/2012 13,8060514 euros
23/05/2012 13,78860594 euros
22/05/2012 13,80055776 euros
21/05/2012 13,77099435 euros
20/05/2012 13,75191765 euros
19/05/2012 13,75168603 euros
18/05/2012 13,75145918 euros
17/05/2012 13,78198807 euros
16/05/2012 13,81277956 euros
15/05/2012 13,83371214 euros
14/05/2012 13,85241956 euros
13/05/2012 13,89934273 euros
12/05/2012 13,8990995 euros
11/05/2012 13,89885626 euros
10/05/2012 13,90766252 euros
09/05/2012 13,88985958 euros
08/05/2012 13,92668191 euros
07/05/2012 13,95061491 euros
06/05/2012 13,94330676 euros
05/05/2012 13,94307031 euros
04/05/2012 13,9428339 euros
03/05/2012 13,96506662 euros
02/05/2012 13,96694554 euros
01/05/2012 13,96051115 euros
30/04/2012 13,9545829 euros
29/04/2012 13,94611454 euros
28/04/2012 13,945874 euros
27/04/2012 13,94563095 euros