Fondos liquidativos

Fondo: CAIXABANK BOLSA DIVIDENDO EUROPA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

23/12/2007 7,57305254 euros
22/12/2007 7,57322839 euros
21/12/2007 7,57340341 euros
20/12/2007 7,50343182 euros
19/12/2007 7,48942843 euros
18/12/2007 7,52201628 euros
17/12/2007 7,53665936 euros
16/12/2007 7,66384145 euros
15/12/2007 7,66400452 euros
14/12/2007 7,66416716 euros
13/12/2007 7,62221308 euros
12/12/2007 7,80727685 euros
11/12/2007 7,74949922 euros
10/12/2007 7,78963343 euros
09/12/2007 7,74421428 euros
08/12/2007 7,74435986 euros
07/12/2007 7,74450532 euros
06/12/2007 7,71956588 euros
05/12/2007 7,72787268 euros
04/12/2007 7,608992 euros
03/12/2007 7,71034318 euros
02/12/2007 7,75142248 euros
01/12/2007 7,75156953 euros
30/11/2007 7,7517736 euros
29/11/2007 7,64833112 euros
28/11/2007 7,62755174 euros
27/11/2007 7,41925875 euros
26/11/2007 7,47329159 euros
25/11/2007 7,51465606 euros
24/11/2007 7,51481335 euros
23/11/2007 7,51497024 euros
22/11/2007 7,39441063 euros
21/11/2007 7,34296921 euros
20/11/2007 7,52551951 euros
19/11/2007 7,45969803 euros
18/11/2007 7,57928947 euros
17/11/2007 7,57941731 euros
16/11/2007 7,57954448 euros
15/11/2007 7,6483958 euros
14/11/2007 7,74159158 euros
13/11/2007 7,79671574 euros
12/11/2007 7,69114023 euros
11/11/2007 7,67203143 euros
10/11/2007 7,6722204 euros
09/11/2007 7,67240909 euros
08/11/2007 7,75433991 euros
07/11/2007 7,78971615 euros
06/11/2007 7,91023739 euros
05/11/2007 7,90271012 euros
04/11/2007 7,97255016 euros