Fondos liquidativos

Fondo: CAIXABANK BOLSA ESPAÑA 150, FI, CLASE ESTANDAR

Fecha

Valor liquidativo

20/09/2013 4,95565014 euros
19/09/2013 4,93383935 euros
18/09/2013 4,86624994 euros
17/09/2013 4,81832779 euros
16/09/2013 4,81752017 euros
15/09/2013 4,77950675 euros
14/09/2013 4,77982322 euros
13/09/2013 4,78013934 euros
12/09/2013 4,76362571 euros
11/09/2013 4,71500517 euros
10/09/2013 4,66656711 euros
09/09/2013 4,5363206 euros
08/09/2013 4,54150816 euros
07/09/2013 4,54180936 euros
06/09/2013 4,54211068 euros
05/09/2013 4,45890442 euros
04/09/2013 4,4226279 euros
03/09/2013 4,39021421 euros
02/09/2013 4,3668452 euros
01/09/2013 4,27023541 euros
31/08/2013 4,27051791 euros
30/08/2013 4,27080071 euros
29/08/2013 4,37891506 euros
28/08/2013 4,35450378 euros
27/08/2013 4,35753769 euros
26/08/2013 4,54676255 euros
25/08/2013 4,58073189 euros
24/08/2013 4,5810356 euros
23/08/2013 4,58133931 euros
22/08/2013 4,53392382 euros
21/08/2013 4,40038269 euros
20/08/2013 4,43809814 euros
19/08/2013 4,56093626 euros
18/08/2013 4,69563586 euros
17/08/2013 4,6959455 euros
16/08/2013 4,69625497 euros
15/08/2013 4,63076321 euros
14/08/2013 4,66890705 euros
13/08/2013 4,64460816 euros
12/08/2013 4,61510719 euros
11/08/2013 4,63022517 euros
10/08/2013 4,6305303 euros
09/08/2013 4,63083527 euros
08/08/2013 4,57898092 euros
07/08/2013 4,500653 euros
06/08/2013 4,47351219 euros
05/08/2013 4,49864973 euros
04/08/2013 4,50246195 euros
03/08/2013 4,50275471 euros
02/08/2013 4,50304739 euros