
Fondo: CAIXABANK BOLSA DIVIDENDO EUROPA, FI CLASE ESTANDAR
Fecha |
Valor liquidativo |
---|---|
27/08/2011 | 3,69098851 euros |
26/08/2011 | 3,69121534 euros |
25/08/2011 | 3,71668288 euros |
24/08/2011 | 3,7697322 euros |
23/08/2011 | 3,70754267 euros |
22/08/2011 | 3,69360835 euros |
21/08/2011 | 3,65539118 euros |
20/08/2011 | 3,65561818 euros |
19/08/2011 | 3,65584518 euros |
18/08/2011 | 3,71663562 euros |
17/08/2011 | 3,92163821 euros |
16/08/2011 | 3,90657529 euros |
15/08/2011 | 3,8913527 euros |
14/08/2011 | 3,89159531 euros |
13/08/2011 | 3,89184089 euros |
12/08/2011 | 3,89208646 euros |
11/08/2011 | 3,73883189 euros |
10/08/2011 | 3,64897004 euros |
09/08/2011 | 3,86044392 euros |
08/08/2011 | 3,8468352 euros |
07/08/2011 | 3,99800908 euros |
06/08/2011 | 3,99825415 euros |
05/08/2011 | 3,99849918 euros |
04/08/2011 | 4,07789897 euros |
03/08/2011 | 4,19877965 euros |
02/08/2011 | 4,23741074 euros |
01/08/2011 | 4,28573138 euros |
31/07/2011 | 4,33989649 euros |
30/07/2011 | 4,3401577 euros |
29/07/2011 | 4,34041932 euros |
28/07/2011 | 4,36874716 euros |
27/07/2011 | 4,35479723 euros |
26/07/2011 | 4,39575138 euros |
25/07/2011 | 4,38586414 euros |
24/07/2011 | 4,39576855 euros |
23/07/2011 | 4,39603436 euros |
22/07/2011 | 4,39630017 euros |
21/07/2011 | 4,36486356 euros |
20/07/2011 | 4,31774152 euros |
19/07/2011 | 4,2693346 euros |
18/07/2011 | 4,2361818 euros |
17/07/2011 | 4,29391622 euros |
16/07/2011 | 4,29417121 euros |
15/07/2011 | 4,29442636 euros |
14/07/2011 | 4,30375317 euros |
13/07/2011 | 4,33971775 euros |
12/07/2011 | 4,32206634 euros |
11/07/2011 | 4,35240089 euros |
10/07/2011 | 4,41175917 euros |
09/07/2011 | 4,41203007 euros |