Fondos liquidativos

Fondo: CAIXABANK BOLSA ESPAÑA 150, FI, CLASE ESTANDAR

Fecha

Valor liquidativo

12/06/2013 4,09017827 euros
11/06/2013 4,05945161 euros
10/06/2013 4,16203396 euros
09/06/2013 4,19047616 euros
08/06/2013 4,1907524 euros
07/06/2013 4,19102859 euros
06/06/2013 4,16218189 euros
05/06/2013 4,21585403 euros
04/06/2013 4,26807983 euros
03/06/2013 4,2104929 euros
02/06/2013 4,24368597 euros
01/06/2013 4,24396049 euros
31/05/2013 4,24423527 euros
30/05/2013 4,31881457 euros
29/05/2013 4,32810893 euros
28/05/2013 4,38999142 euros
27/05/2013 4,26915158 euros
26/05/2013 4,19533005 euros
25/05/2013 4,19560738 euros
24/05/2013 4,19588472 euros
23/05/2013 4,25568443 euros
22/05/2013 4,34502408 euros
21/05/2013 4,33849346 euros
20/05/2013 4,38584745 euros
19/05/2013 4,43560216 euros
18/05/2013 4,43589401 euros
17/05/2013 4,43618585 euros
16/05/2013 4,41158243 euros
15/05/2013 4,4447317 euros
14/05/2013 4,35767319 euros
13/05/2013 4,34746825 euros
12/05/2013 4,40899268 euros
11/05/2013 4,40928287 euros
10/05/2013 4,40957308 euros
09/05/2013 4,44457187 euros
08/05/2013 4,46005214 euros
07/05/2013 4,40961229 euros
06/05/2013 4,38329679 euros
05/05/2013 4,41854662 euros
04/05/2013 4,41883706 euros
03/05/2013 4,41912753 euros
02/05/2013 4,32072674 euros
01/05/2013 4,31900741 euros
30/04/2013 4,31929763 euros
29/04/2013 4,34012683 euros
28/04/2013 4,22512675 euros
27/04/2013 4,22540616 euros
26/04/2013 4,22568554 euros
25/04/2013 4,27468656 euros
24/04/2013 4,29957159 euros