Fondos liquidativos

Fondo: CAIXABANK BOLSA DIVIDENDO EUROPA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

15/05/2015 7,67854714 euros
14/05/2015 7,72552651 euros
13/05/2015 7,66862998 euros
12/05/2015 7,65050518 euros
11/05/2015 7,69356371 euros
10/05/2015 7,65296253 euros
09/05/2015 7,65346111 euros
08/05/2015 7,65395976 euros
07/05/2015 7,45554962 euros
06/05/2015 7,42730528 euros
05/05/2015 7,4238001 euros
04/05/2015 7,59403751 euros
03/05/2015 7,52091936 euros
02/05/2015 7,52140872 euros
01/05/2015 7,52189811 euros
30/04/2015 7,54533597 euros
29/04/2015 7,5965301 euros
28/04/2015 7,74370333 euros
27/04/2015 7,82124072 euros
26/04/2015 7,76294664 euros
25/04/2015 7,76345187 euros
24/04/2015 7,76395719 euros
23/04/2015 7,68972307 euros
22/04/2015 7,72431139 euros
21/04/2015 7,68928533 euros
20/04/2015 7,68784516 euros
19/04/2015 7,60151687 euros
18/04/2015 7,60201265 euros
17/04/2015 7,60250892 euros
16/04/2015 7,74614685 euros
15/04/2015 7,85839152 euros
14/04/2015 7,80343284 euros
13/04/2015 7,84643625 euros
12/04/2015 7,78585695 euros
11/04/2015 7,78636354 euros
10/04/2015 7,78687053 euros
09/04/2015 7,76214392 euros
08/04/2015 7,68905591 euros
07/04/2015 7,73400957 euros
06/04/2015 7,59628777 euros
05/04/2015 7,59439583 euros
04/04/2015 7,59489068 euros
03/04/2015 7,59538557 euros
02/04/2015 7,60728472 euros
01/04/2015 7,61881888 euros
31/03/2015 7,5868396 euros
30/03/2015 7,64379812 euros
29/03/2015 7,56201954 euros
28/03/2015 7,56251235 euros
27/03/2015 7,56300533 euros