Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION EUROPA, FI CLASE PREMIUM

Fecha

Valor liquidativo

07/04/2013 5,14802148 euros
06/04/2013 5,14819245 euros
05/04/2013 5,14836342 euros
04/04/2013 5,23784085 euros
03/04/2013 5,29017383 euros
02/04/2013 5,34277878 euros
01/04/2013 5,29342898 euros
31/03/2013 5,29450494 euros
30/03/2013 5,29468091 euros
29/03/2013 5,29485688 euros
28/03/2013 5,29345082 euros
27/03/2013 5,27614576 euros
26/03/2013 5,30296669 euros
25/03/2013 5,29342013 euros
24/03/2013 5,32217624 euros
23/03/2013 5,32235076 euros
22/03/2013 5,32252533 euros
21/03/2013 5,34150981 euros
20/03/2013 5,38085315 euros
19/03/2013 5,35349252 euros
18/03/2013 5,38892089 euros
17/03/2013 5,41794965 euros
16/03/2013 5,41812769 euros
15/03/2013 5,41830572 euros
14/03/2013 5,44259805 euros
13/03/2013 5,37673504 euros
12/03/2013 5,37541339 euros
11/03/2013 5,37252318 euros
10/03/2013 5,37758861 euros
09/03/2013 5,3777635 euros
08/03/2013 5,37794723 euros
07/03/2013 5,32451724 euros
06/03/2013 5,31616416 euros
05/03/2013 5,32181519 euros
04/03/2013 5,21355392 euros
03/03/2013 5,23287071 euros
02/03/2013 5,23304246 euros
01/03/2013 5,23321427 euros
28/02/2013 5,26260762 euros
27/02/2013 5,22269559 euros
26/02/2013 5,17258461 euros
25/02/2013 5,24790776 euros
24/02/2013 5,24279825 euros
23/02/2013 5,24297011 euros
22/02/2013 5,24314474 euros
21/02/2013 5,18590386 euros
20/02/2013 5,28191119 euros
19/02/2013 5,29304415 euros
18/02/2013 5,24122026 euros
17/02/2013 5,25010001 euros