Fondos liquidativos

Fondo: CAIXABANK DIVERSIFICADO DINAMICO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

01/03/2014 6,49641641 euros
28/02/2014 6,49648729 euros
27/02/2014 6,49509706 euros
26/02/2014 6,48545328 euros
25/02/2014 6,48093288 euros
24/02/2014 6,47448476 euros
23/02/2014 6,47234992 euros
22/02/2014 6,47242434 euros
21/02/2014 6,47249878 euros
20/02/2014 6,45662694 euros
19/02/2014 6,4662013 euros
18/02/2014 6,46503364 euros
17/02/2014 6,44258133 euros
16/02/2014 6,43446911 euros
15/02/2014 6,4345181 euros
14/02/2014 6,43456701 euros
13/02/2014 6,4259068 euros
12/02/2014 6,42049757 euros
11/02/2014 6,41042424 euros
10/02/2014 6,40050069 euros
09/02/2014 6,39978387 euros
08/02/2014 6,39983251 euros
07/02/2014 6,39988117 euros
06/02/2014 6,37370921 euros
05/02/2014 6,36770571 euros
04/02/2014 6,3601247 euros
03/02/2014 6,36013133 euros
02/02/2014 6,36861131 euros
01/02/2014 6,36866824 euros
31/01/2014 6,36872556 euros
30/01/2014 6,36149175 euros
29/01/2014 6,36590044 euros
28/01/2014 6,3589574 euros
27/01/2014 6,34595424 euros
26/01/2014 6,36641781 euros
25/01/2014 6,36647571 euros
24/01/2014 6,36653359 euros
23/01/2014 6,38966701 euros
22/01/2014 6,39641633 euros
21/01/2014 6,39756213 euros
20/01/2014 6,39763428 euros
19/01/2014 6,39438058 euros
18/01/2014 6,39443674 euros
17/01/2014 6,39449292 euros
16/01/2014 6,39020905 euros
15/01/2014 6,38401477 euros
14/01/2014 6,37306465 euros
13/01/2014 6,37521471 euros
12/01/2014 6,36266253 euros
11/01/2014 6,36273357 euros