Fondos liquidativos

Fondo: CAIXABANK DIVERSIFICADO DINAMICO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

16/06/2007 7,15010007 euros
15/06/2007 7,14988128 euros
14/06/2007 7,08724991 euros
13/06/2007 7,02459843 euros
12/06/2007 7,00547949 euros
11/06/2007 7,03053941 euros
10/06/2007 7,0127592 euros
09/06/2007 7,01253815 euros
08/06/2007 7,01231714 euros
07/06/2007 7,00962707 euros
06/06/2007 7,05891167 euros
05/06/2007 7,13154369 euros
04/06/2007 7,16194495 euros
03/06/2007 7,16235519 euros
02/06/2007 7,16211004 euros
01/06/2007 7,16186474 euros
31/05/2007 7,11460602 euros
30/05/2007 7,08016492 euros
29/05/2007 7,08792182 euros
28/05/2007 7,08434875 euros
27/05/2007 7,07916179 euros
26/05/2007 7,07891923 euros
25/05/2007 7,07867644 euros
24/05/2007 7,07736498 euros
23/05/2007 7,11212608 euros
22/05/2007 7,08486487 euros
21/05/2007 7,07199306 euros
20/05/2007 7,06883742 euros
19/05/2007 7,06859025 euros
18/05/2007 7,06834291 euros
17/05/2007 7,03958753 euros
16/05/2007 7,02957326 euros
15/05/2007 7,0303391 euros
14/05/2007 7,02149919 euros
13/05/2007 7,03016165 euros
12/05/2007 7,02990966 euros
11/05/2007 7,02959724 euros
10/05/2007 7,00326852 euros
09/05/2007 7,03266305 euros
08/05/2007 7,02734253 euros
07/05/2007 7,05842546 euros
06/05/2007 7,04762588 euros
05/05/2007 7,04733818 euros
04/05/2007 7,04705057 euros
03/05/2007 7,0191196 euros
02/05/2007 7,0201747 euros
01/05/2007 7,00908157 euros
30/04/2007 7,00803732 euros
29/04/2007 7,01050479 euros
28/04/2007 7,0102294 euros