Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION EUROPA, FI CLASE PREMIUM

Fecha

Valor liquidativo

04/09/2013 5,56080506 euros
03/09/2013 5,53715416 euros
02/09/2013 5,54579201 euros
01/09/2013 5,43121258 euros
31/08/2013 5,43139447 euros
30/08/2013 5,43157484 euros
29/08/2013 5,500839 euros
28/08/2013 5,45995392 euros
27/08/2013 5,47924896 euros
26/08/2013 5,60185933 euros
25/08/2013 5,61934017 euros
24/08/2013 5,61952667 euros
23/08/2013 5,61971317 euros
22/08/2013 5,59993656 euros
21/08/2013 5,53246343 euros
20/08/2013 5,55761115 euros
19/08/2013 5,61421233 euros
18/08/2013 5,6493266 euros
17/08/2013 5,64951393 euros
16/08/2013 5,64970126 euros
15/08/2013 5,63259041 euros
14/08/2013 5,6984044 euros
13/08/2013 5,6677581 euros
12/08/2013 5,63170828 euros
11/08/2013 5,6236643 euros
10/08/2013 5,62385076 euros
09/08/2013 5,62403721 euros
08/08/2013 5,57285689 euros
07/08/2013 5,54726724 euros
06/08/2013 5,54858298 euros
05/08/2013 5,58074907 euros
04/08/2013 5,57098286 euros
03/08/2013 5,57116739 euros
02/08/2013 5,57135191 euros
01/08/2013 5,54734786 euros
31/07/2013 5,47795587 euros
30/07/2013 5,48456978 euros
29/07/2013 5,48248547 euros
28/07/2013 5,47933743 euros
27/07/2013 5,47951874 euros
26/07/2013 5,47970007 euros
25/07/2013 5,4989727 euros
24/07/2013 5,5298137 euros
23/07/2013 5,48803979 euros
22/07/2013 5,50413872 euros
21/07/2013 5,49276762 euros
20/07/2013 5,49295009 euros
19/07/2013 5,49313259 euros
18/07/2013 5,4823965 euros
17/07/2013 5,42427183 euros