Fondos liquidativos

Fondo: CAIXABANK DIVERSIFICADO DINAMICO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

09/12/2002 5,99654674 euros
08/12/2002 5,99511295 euros
07/12/2002 5,99484468 euros
06/12/2002 5,99457642 euros
05/12/2002 5,99295858 euros
04/12/2002 5,99149679 euros
03/12/2002 5,99114006 euros
02/12/2002 5,98911108 euros
01/12/2002 5,98046678 euros
30/11/2002 5,98015911 euros
29/11/2002 5,97983724 euros
28/11/2002 5,98361475 euros
27/11/2002 5,9807866 euros
26/11/2002 5,96677765 euros
25/11/2002 5,97249 euros
24/11/2002 5,97293103 euros
23/11/2002 5,97260983 euros
22/11/2002 5,97228864 euros
21/11/2002 5,97041129 euros
20/11/2002 5,97184813 euros
19/11/2002 5,97050486 euros
18/11/2002 5,96908577 euros
17/11/2002 5,96567453 euros
16/11/2002 5,96536266 euros
15/11/2002 5,96505079 euros
14/11/2002 5,96228456 euros
13/11/2002 5,95211828 euros
12/11/2002 5,95546416 euros
11/11/2002 5,94983625 euros
10/11/2002 5,94759652 euros
09/11/2002 5,94728799 euros
08/11/2002 5,94697946 euros
07/11/2002 5,94217222 euros
06/11/2002 5,93748504 euros
05/11/2002 5,93470573 euros
04/11/2002 5,9348313 euros
03/11/2002 5,93484391 euros
02/11/2002 5,93452499 euros
01/11/2002 5,93420609 euros
31/10/2002 5,93578054 euros
30/10/2002 5,93198073 euros
29/10/2002 5,93421918 euros
28/10/2002 5,93028722 euros
27/10/2002 5,93268762 euros
26/10/2002 5,93236005 euros
25/10/2002 5,93203249 euros
24/10/2002 5,93081602 euros
23/10/2002 5,93353064 euros
22/10/2002 5,9304166 euros
21/10/2002 5,93111962 euros