Fondos liquidativos

Fondo: CAIXABANK BOLSA DIVIDENDO EUROPA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

15/02/2011 4,61298972 euros
14/02/2011 4,61063465 euros
13/02/2011 4,60876787 euros
12/02/2011 4,60905693 euros
11/02/2011 4,60934595 euros
10/02/2011 4,59537837 euros
09/02/2011 4,60148711 euros
08/02/2011 4,60393237 euros
07/02/2011 4,59501533 euros
06/02/2011 4,55457165 euros
05/02/2011 4,55486329 euros
04/02/2011 4,55515496 euros
03/02/2011 4,53636815 euros
02/02/2011 4,53992163 euros
01/02/2011 4,53156666 euros
31/01/2011 4,48378188 euros
30/01/2011 4,45690778 euros
29/01/2011 4,45718394 euros
28/01/2011 4,45746005 euros
27/01/2011 4,49579309 euros
26/01/2011 4,47999389 euros
25/01/2011 4,45689649 euros
24/01/2011 4,48799312 euros
23/01/2011 4,47728562 euros
22/01/2011 4,47756531 euros
21/01/2011 4,47784506 euros
20/01/2011 4,4432886 euros
19/01/2011 4,45731387 euros
18/01/2011 4,53435848 euros
17/01/2011 4,48333384 euros
16/01/2011 4,46918786 euros
15/01/2011 4,46947271 euros
14/01/2011 4,46975762 euros
13/01/2011 4,46720187 euros
12/01/2011 4,46383205 euros
11/01/2011 4,40316444 euros
10/01/2011 4,3796592 euros
09/01/2011 4,43633719 euros
08/01/2011 4,43661956 euros
07/01/2011 4,43690197 euros
06/01/2011 4,41075107 euros
05/01/2011 4,41102931 euros
04/01/2011 4,40407222 euros
03/01/2011 4,34164848 euros
02/01/2011 4,30897506 euros
01/01/2011 4,30924309 euros
31/12/2010 4,30951166 euros
30/12/2010 4,33408664 euros
29/12/2010 4,3947846 euros
28/12/2010 4,375109 euros