Fondos liquidativos

Fondo: CAIXABANK BOLSA DIVIDENDO EUROPA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

22/01/2006 6,83335225 euros
21/01/2006 6,83347834 euros
20/01/2006 6,83360457 euros
19/01/2006 6,89164998 euros
18/01/2006 6,85703238 euros
17/01/2006 6,91417672 euros
16/01/2006 6,96998028 euros
15/01/2006 6,95229649 euros
14/01/2006 6,95242593 euros
13/01/2006 6,95255547 euros
12/01/2006 7,00721547 euros
11/01/2006 6,99660598 euros
10/01/2006 6,9649832 euros
09/01/2006 7,00996414 euros
08/01/2006 6,99579236 euros
07/01/2006 6,99591571 euros
06/01/2006 6,99603907 euros
05/01/2006 6,96170157 euros
04/01/2006 6,97481634 euros
03/01/2006 6,91712265 euros
02/01/2006 6,89703538 euros
01/01/2006 6,859824 euros
31/12/2005 6,8599806 euros
30/12/2005 6,86011122 euros
29/12/2005 6,91419086 euros
28/12/2005 6,89431209 euros
27/12/2005 6,90459832 euros
26/12/2005 6,88987326 euros
25/12/2005 6,8900098 euros
24/12/2005 6,89015242 euros
23/12/2005 6,89029585 euros
22/12/2005 6,89061137 euros
21/12/2005 6,8903338 euros
20/12/2005 6,83970967 euros
19/12/2005 6,81355897 euros
18/12/2005 6,82771586 euros
17/12/2005 6,82787019 euros
16/12/2005 6,82802488 euros
15/12/2005 6,7746941 euros
14/12/2005 6,78546823 euros
13/12/2005 6,80153024 euros
12/12/2005 6,78949676 euros
11/12/2005 6,77610603 euros
10/12/2005 6,77627036 euros
09/12/2005 6,77643533 euros
08/12/2005 6,78998759 euros
07/12/2005 6,77330831 euros
06/12/2005 6,77988058 euros
05/12/2005 6,74193189 euros
04/12/2005 6,7642474 euros