Fondos liquidativos

Fondo: CAIXABANK BOLSA ESPAÑA 150, FI, CLASE ESTANDAR

Fecha

Valor liquidativo

05/10/2012 3,89146713 euros
04/10/2012 3,77944764 euros
03/10/2012 3,79529679 euros
02/10/2012 3,82520489 euros
01/10/2012 3,77251966 euros
30/09/2012 3,71293692 euros
29/09/2012 3,713181 euros
28/09/2012 3,71342552 euros
27/09/2012 3,80702874 euros
26/09/2012 3,81808994 euros
25/09/2012 4,04840717 euros
24/09/2012 4,02437703 euros
23/09/2012 4,08140494 euros
22/09/2012 4,0816748 euros
21/09/2012 4,08194461 euros
20/09/2012 3,93576439 euros
19/09/2012 3,99965714 euros
18/09/2012 3,97939833 euros
17/09/2012 4,03388392 euros
16/09/2012 4,02932712 euros
15/09/2012 4,02959432 euros
14/09/2012 4,02986162 euros
13/09/2012 3,88616104 euros
12/09/2012 3,92098312 euros
11/09/2012 3,8780284 euros
10/09/2012 3,82491014 euros
09/09/2012 3,83734397 euros
08/09/2012 3,83759912 euros
07/09/2012 3,83785401 euros
06/09/2012 3,81976494 euros
05/09/2012 3,56352024 euros
04/09/2012 3,56310671 euros
03/09/2012 3,51707819 euros
02/09/2012 3,50703712 euros
01/09/2012 3,50726987 euros
31/08/2012 3,50750257 euros
30/08/2012 3,35971287 euros
29/08/2012 3,43081946 euros
28/08/2012 3,45041896 euros
27/08/2012 3,49309569 euros
26/08/2012 3,43864096 euros
25/08/2012 3,43886911 euros
24/08/2012 3,43909728 euros
23/08/2012 3,41563475 euros
22/08/2012 3,4605169 euros
21/08/2012 3,60510163 euros
20/08/2012 3,55284184 euros
19/08/2012 3,61043917 euros
18/08/2012 3,61067649 euros
17/08/2012 3,6109138 euros