Fondos liquidativos

Fondo: CAIXABANK BOLSA DIVIDENDO EUROPA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

21/10/2005 6,32582048 euros
20/10/2005 6,32904825 euros
19/10/2005 6,34046955 euros
18/10/2005 6,41155629 euros
17/10/2005 6,44074727 euros
16/10/2005 6,43875818 euros
15/10/2005 6,4389136 euros
14/10/2005 6,4390691 euros
13/10/2005 6,40798555 euros
12/10/2005 6,46202957 euros
11/10/2005 6,51076038 euros
10/10/2005 6,50108439 euros
09/10/2005 6,49403077 euros
08/10/2005 6,49414499 euros
07/10/2005 6,49425928 euros
06/10/2005 6,51351127 euros
05/10/2005 6,59972794 euros
04/10/2005 6,66816702 euros
03/10/2005 6,65804204 euros
02/10/2005 6,61751352 euros
01/10/2005 6,61766617 euros
30/09/2005 6,61782421 euros
29/09/2005 6,61565331 euros
28/09/2005 6,62181584 euros
27/09/2005 6,57429987 euros
26/09/2005 6,59031288 euros
25/09/2005 6,50909498 euros
24/09/2005 6,50923568 euros
23/09/2005 6,50937702 euros
22/09/2005 6,46908571 euros
21/09/2005 6,48278869 euros
20/09/2005 6,54987407 euros
19/09/2005 6,5399997 euros
18/09/2005 6,52975634 euros
17/09/2005 6,52991743 euros
16/09/2005 6,53008073 euros
15/09/2005 6,48553355 euros
14/09/2005 6,49794663 euros
13/09/2005 6,47487859 euros
12/09/2005 6,51197912 euros
11/09/2005 6,51840287 euros
10/09/2005 6,51855338 euros
09/09/2005 6,51870428 euros
08/09/2005 6,4952167 euros
07/09/2005 6,50970677 euros
06/09/2005 6,50268412 euros
05/09/2005 6,43063976 euros
04/09/2005 6,37714079 euros
03/09/2005 6,37730243 euros
02/09/2005 6,37746554 euros