Fondos liquidativos

Fondo: CAIXABANK BOLSA DIVIDENDO EUROPA, FI CLASE PLUS

Fecha

Valor liquidativo

25/11/2011 5,11931086 euros
24/11/2011 5,07100691 euros
23/11/2011 5,09942853 euros
22/11/2011 5,17396264 euros
21/11/2011 5,23100544 euros
20/11/2011 5,43907444 euros
19/11/2011 5,4393169 euros
18/11/2011 5,43955955 euros
17/11/2011 5,46831175 euros
16/11/2011 5,55711873 euros
15/11/2011 5,54666001 euros
14/11/2011 5,63135647 euros
13/11/2011 5,7084084 euros
12/11/2011 5,70866216 euros
11/11/2011 5,70891597 euros
10/11/2011 5,53781848 euros
09/11/2011 5,53270897 euros
08/11/2011 5,66140406 euros
07/11/2011 5,61916795 euros
06/11/2011 5,64842706 euros
05/11/2011 5,64867136 euros
04/11/2011 5,64891658 euros
03/11/2011 5,74791313 euros
02/11/2011 5,58011316 euros
01/11/2011 5,50313158 euros
31/10/2011 5,78108581 euros
30/10/2011 5,94819705 euros
29/10/2011 5,94845316 euros
28/10/2011 5,94870918 euros
27/10/2011 5,9679754 euros
26/10/2011 5,66993463 euros
25/10/2011 5,67610977 euros
24/10/2011 5,73233851 euros
23/10/2011 5,66667315 euros
22/10/2011 5,6669198 euros
21/10/2011 5,66716759 euros
20/10/2011 5,49684036 euros
19/10/2011 5,64802229 euros
18/10/2011 5,58307781 euros
17/10/2011 5,62431686 euros
16/10/2011 5,69673423 euros
15/10/2011 5,69697616 euros
14/10/2011 5,69721803 euros
13/10/2011 5,6576483 euros
12/10/2011 5,64325824 euros
11/10/2011 5,64349484 euros
10/10/2011 5,64865469 euros
09/10/2011 5,53537242 euros
08/10/2011 5,53560817 euros
07/10/2011 5,53584439 euros