Fondos liquidativos

Fondo: CAIXABANK BOLSA DIVIDENDO EUROPA, FI CLASE EXTRA

Fecha

Valor liquidativo

23/08/2015 10,67675347 euros
22/08/2015 10,67709957 euros
21/08/2015 10,67744565 euros
20/08/2015 11,05103524 euros
19/08/2015 11,32915552 euros
18/08/2015 11,5574892 euros
17/08/2015 11,50582261 euros
16/08/2015 11,42325895 euros
15/08/2015 11,42363042 euros
14/08/2015 11,42400187 euros
13/08/2015 11,45631807 euros
12/08/2015 11,34081178 euros
11/08/2015 11,69333582 euros
10/08/2015 11,8801807 euros
09/08/2015 11,77842758 euros
08/08/2015 11,77882595 euros
07/08/2015 11,77922429 euros
06/08/2015 11,91842681 euros
05/08/2015 11,98239204 euros
04/08/2015 11,78711176 euros
03/08/2015 11,82903421 euros
02/08/2015 11,72793671 euros
01/08/2015 11,72831845 euros
31/07/2015 11,72870019 euros
30/07/2015 11,7261216 euros
29/07/2015 11,6347165 euros
28/07/2015 11,57076851 euros
27/07/2015 11,46494755 euros
26/07/2015 11,74964271 euros
25/07/2015 11,7500253 euros
24/07/2015 11,75040789 euros
23/07/2015 11,8146774 euros
22/07/2015 11,86595036 euros
21/07/2015 11,87321303 euros
20/07/2015 12,0376609 euros
19/07/2015 11,9497099 euros
18/07/2015 11,95009885 euros
17/07/2015 11,95048834 euros
16/07/2015 11,96144994 euros
15/07/2015 11,74046697 euros
14/07/2015 11,69571727 euros
13/07/2015 11,6628444 euros
12/07/2015 11,44709782 euros
11/07/2015 11,44747145 euros
10/07/2015 11,447831 euros
09/07/2015 11,1181679 euros
08/07/2015 10,82194211 euros
07/07/2015 10,70426286 euros
06/07/2015 10,95448401 euros
05/07/2015 11,21556916 euros