
Fondo: CAIXABANK BOLSA DIVIDENDO EUROPA, FI CLASE ESTANDAR
Fecha |
Valor liquidativo |
---|---|
01/09/2014 | 6,22876525 euros |
31/08/2014 | 6,23357975 euros |
30/08/2014 | 6,23398291 euros |
29/08/2014 | 6,23438607 euros |
28/08/2014 | 6,22174759 euros |
27/08/2014 | 6,27197052 euros |
26/08/2014 | 6,24189422 euros |
25/08/2014 | 6,19862285 euros |
24/08/2014 | 6,10648107 euros |
23/08/2014 | 6,10688102 euros |
22/08/2014 | 6,10728095 euros |
21/08/2014 | 6,13106768 euros |
20/08/2014 | 6,06162044 euros |
19/08/2014 | 6,06938894 euros |
18/08/2014 | 6,02872822 euros |
17/08/2014 | 5,95360533 euros |
16/08/2014 | 5,95399457 euros |
15/08/2014 | 5,95438383 euros |
14/08/2014 | 5,97795524 euros |
13/08/2014 | 5,9816861 euros |
12/08/2014 | 5,95226477 euros |
11/08/2014 | 5,9688094 euros |
10/08/2014 | 5,86245631 euros |
09/08/2014 | 5,86284154 euros |
08/08/2014 | 5,86322673 euros |
07/08/2014 | 5,88358387 euros |
06/08/2014 | 5,9514304 euros |
05/08/2014 | 6,02099295 euros |
04/08/2014 | 6,06285649 euros |
03/08/2014 | 6,04884923 euros |
02/08/2014 | 6,04924523 euros |
01/08/2014 | 6,04964125 euros |
31/07/2014 | 6,12364592 euros |
30/07/2014 | 6,23423321 euros |
29/07/2014 | 6,2664121 euros |
28/07/2014 | 6,2464565 euros |
27/07/2014 | 6,25963261 euros |
26/07/2014 | 6,26003829 euros |
25/07/2014 | 6,26044397 euros |
24/07/2014 | 6,2893316 euros |
23/07/2014 | 6,21268204 euros |
22/07/2014 | 6,20155684 euros |
21/07/2014 | 6,10489554 euros |
20/07/2014 | 6,1414065 euros |
19/07/2014 | 6,14180844 euros |
18/07/2014 | 6,1422104 euros |
17/07/2014 | 6,11218451 euros |
16/07/2014 | 6,19032155 euros |
15/07/2014 | 6,04493373 euros |
14/07/2014 | 6,09227088 euros |