
Fondo: CAIXABANK DIVERSIFICADO DINAMICO, FI CLASE ESTANDAR
Fecha |
Valor liquidativo |
---|---|
27/07/2001 | 5,7539912 euros |
26/07/2001 | 5,7397385 euros |
25/07/2001 | 5,7325434 euros |
24/07/2001 | 5,7415665 euros |
23/07/2001 | 5,7488933 euros |
22/07/2001 | 5,7490942 euros |
21/07/2001 | 5,7487025 euros |
20/07/2001 | 5,7483194 euros |
19/07/2001 | 5,7531618 euros |
18/07/2001 | 5,7510691 euros |
17/07/2001 | 5,7559347 euros |
16/07/2001 | 5,7519034 euros |
15/07/2001 | 5,7549326 euros |
14/07/2001 | 5,7545417 euros |
13/07/2001 | 5,7541054 euros |
12/07/2001 | 5,7493404 euros |
11/07/2001 | 5,7338555 euros |
10/07/2001 | 5,7495876 euros |
09/07/2001 | 5,7569658 euros |
08/07/2001 | 5,758786 euros |
07/07/2001 | 5,7583973 euros |
06/07/2001 | 5,7581912 euros |
05/07/2001 | 5,7803978 euros |
04/07/2001 | 5,7900016 euros |
03/07/2001 | 5,7891344 euros |
02/07/2001 | 5,805176 euros |
01/07/2001 | 5,7865346 euros |
30/06/2001 | 5,7861135 euros |
29/06/2001 | 5,7856983 euros |
28/06/2001 | 5,775619 euros |
27/06/2001 | 5,7660799 euros |
26/06/2001 | 5,7655606 euros |
25/06/2001 | 5,788621 euros |
24/06/2001 | 5,7891146 euros |
23/06/2001 | 5,7887282 euros |
22/06/2001 | 5,7883566 euros |
21/06/2001 | 5,78463 euros |
20/06/2001 | 5,788844 euros |
19/06/2001 | 5,7814827 euros |
18/06/2001 | 5,77213 euros |
17/06/2001 | 5,7797946 euros |
16/06/2001 | 5,7793846 euros |
15/06/2001 | 5,778986 euros |
14/06/2001 | 5,7965809 euros |
13/06/2001 | 5,8103601 euros |
12/06/2001 | 5,8172148 euros |
11/06/2001 | 5,8375157 euros |
10/06/2001 | 5,8434319 euros |
09/06/2001 | 5,842967 euros |
08/06/2001 | 5,8426073 euros |