Fondos liquidativos

Fondo: CAIXABANK BOLSA DIVIDENDO EUROPA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

25/09/2010 4,22127947 euros
24/09/2010 4,22154476 euros
23/09/2010 4,18454527 euros
22/09/2010 4,17875844 euros
21/09/2010 4,24996864 euros
20/09/2010 4,26268304 euros
19/09/2010 4,21249158 euros
18/09/2010 4,21275614 euros
17/09/2010 4,21302071 euros
16/09/2010 4,22899688 euros
15/09/2010 4,26345759 euros
14/09/2010 4,27037835 euros
13/09/2010 4,26891426 euros
12/09/2010 4,25369466 euros
11/09/2010 4,25396288 euros
10/09/2010 4,25423112 euros
09/09/2010 4,26667435 euros
08/09/2010 4,23586053 euros
07/09/2010 4,19539192 euros
06/09/2010 4,20303944 euros
05/09/2010 4,19852974 euros
04/09/2010 4,19879621 euros
03/09/2010 4,1990627 euros
02/09/2010 4,19107109 euros
01/09/2010 4,19425498 euros
31/08/2010 4,109008 euros
30/08/2010 4,12093639 euros
29/08/2010 4,12042951 euros
28/08/2010 4,12069336 euros
27/08/2010 4,12095741 euros
26/08/2010 4,07984669 euros
25/08/2010 4,05748282 euros
24/08/2010 4,08208436 euros
23/08/2010 4,14285452 euros
22/08/2010 4,11711303 euros
21/08/2010 4,11737473 euros
20/08/2010 4,11763644 euros
19/08/2010 4,13924858 euros
18/08/2010 4,18575341 euros
17/08/2010 4,18977163 euros
16/08/2010 4,15050696 euros
15/08/2010 4,16126619 euros
14/08/2010 4,16152993 euros
13/08/2010 4,16179368 euros
12/08/2010 4,15026679 euros
11/08/2010 4,1586887 euros
10/08/2010 4,23145783 euros
09/08/2010 4,25930507 euros
08/08/2010 4,20238799 euros
07/08/2010 4,20265702 euros