Fondos liquidativos

Fondo: CAIXABANK BOLSA DIVIDENDO EUROPA, FI CLASE PLUS

Fecha

Valor liquidativo

03/10/2012 6,30487817 euros
02/10/2012 6,31671543 euros
01/10/2012 6,32334565 euros
30/09/2012 6,23839845 euros
29/09/2012 6,23867148 euros
28/09/2012 6,23894807 euros
27/09/2012 6,35365521 euros
26/09/2012 6,3240375 euros
25/09/2012 6,49032489 euros
24/09/2012 6,46495815 euros
23/09/2012 6,49890731 euros
22/09/2012 6,49919178 euros
21/09/2012 6,49947804 euros
20/09/2012 6,42477511 euros
19/09/2012 6,46653759 euros
18/09/2012 6,443305 euros
17/09/2012 6,50608498 euros
16/09/2012 6,53124672 euros
15/09/2012 6,53153332 euros
14/09/2012 6,53181993 euros
13/09/2012 6,4119374 euros
12/09/2012 6,44918173 euros
11/09/2012 6,39736486 euros
10/09/2012 6,35435365 euros
09/09/2012 6,35758667 euros
08/09/2012 6,35786518 euros
07/09/2012 6,35814372 euros
06/09/2012 6,29431318 euros
05/09/2012 6,08411932 euros
04/09/2012 6,08474404 euros
03/09/2012 6,12511299 euros
02/09/2012 6,08139235 euros
01/09/2012 6,08165924 euros
31/08/2012 6,08192636 euros
30/08/2012 6,01838764 euros
29/08/2012 6,07421934 euros
28/08/2012 6,09529781 euros
27/08/2012 6,13647653 euros
26/08/2012 6,09375069 euros
25/08/2012 6,09401788 euros
24/08/2012 6,09428512 euros
23/08/2012 6,09558013 euros
22/08/2012 6,14888534 euros
21/08/2012 6,24786864 euros
20/08/2012 6,1971128 euros
19/08/2012 6,25692615 euros
18/08/2012 6,25720055 euros
17/08/2012 6,25747495 euros
16/08/2012 6,21189282 euros
15/08/2012 6,13038818 euros