Fondos liquidativos

Fondo: CAIXABANK BOLSA DIVIDENDO EUROPA, FI CLASE EXTRA

Fecha

Valor liquidativo

09/02/2012 5,97677609 euros
08/02/2012 5,9644344 euros
07/02/2012 5,97569151 euros
06/02/2012 5,98537115 euros
05/02/2012 5,99233746 euros
04/02/2012 5,9925222 euros
03/02/2012 5,99270699 euros
02/02/2012 5,88840039 euros
01/02/2012 5,90861963 euros
31/01/2012 5,80679534 euros
30/01/2012 5,77577398 euros
29/01/2012 5,86744231 euros
28/01/2012 5,86762466 euros
27/01/2012 5,86780711 euros
26/01/2012 5,91941085 euros
25/01/2012 5,87039966 euros
24/01/2012 5,87955304 euros
23/01/2012 5,91289773 euros
22/01/2012 5,87811592 euros
21/01/2012 5,87829933 euros
20/01/2012 5,87848287 euros
19/01/2012 5,88786835 euros
18/01/2012 5,80459314 euros
17/01/2012 5,83392967 euros
16/01/2012 5,78488301 euros
15/01/2012 5,72044383 euros
14/01/2012 5,72062516 euros
13/01/2012 5,72080615 euros
12/01/2012 5,72491308 euros
11/01/2012 5,73055464 euros
10/01/2012 5,7248532 euros
09/01/2012 5,58620664 euros
08/01/2012 5,62735164 euros
07/01/2012 5,62752877 euros
06/01/2012 5,6277059 euros
05/01/2012 5,63680503 euros
04/01/2012 5,72480924 euros
03/01/2012 5,76858042 euros
02/01/2012 5,69755981 euros
01/01/2012 5,60052584 euros
31/12/2011 5,60070052 euros
30/12/2011 5,60087949 euros
29/12/2011 5,54785235 euros
28/12/2011 5,48972398 euros
27/12/2011 5,55505731 euros
26/12/2011 5,56170889 euros
25/12/2011 5,56188768 euros
24/12/2011 5,56206653 euros
23/12/2011 5,56224542 euros
22/12/2011 5,51666487 euros