
Fondo: CAIXABANK BOLSA DIVIDENDO EUROPA, FI CLASE ESTANDAR
Fecha |
Valor liquidativo |
---|---|
16/10/2011 | 3,98056583 euros |
15/10/2011 | 3,98081671 euros |
14/10/2011 | 3,98106755 euros |
13/10/2011 | 3,95349853 euros |
12/10/2011 | 3,94352397 euros |
11/10/2011 | 3,94377033 euros |
10/10/2011 | 3,94745721 euros |
09/10/2011 | 3,8683715 euros |
08/10/2011 | 3,86861577 euros |
07/10/2011 | 3,86886023 euros |
06/10/2011 | 3,83767083 euros |
05/10/2011 | 3,71823883 euros |
04/10/2011 | 3,5802598 euros |
03/10/2011 | 3,69483327 euros |
02/10/2011 | 3,75861247 euros |
01/10/2011 | 3,75884754 euros |
30/09/2011 | 3,759084 euros |
29/09/2011 | 3,7961208 euros |
28/09/2011 | 3,73991254 euros |
27/09/2011 | 3,75916216 euros |
26/09/2011 | 3,57179379 euros |
25/09/2011 | 3,49467551 euros |
24/09/2011 | 3,49489692 euros |
23/09/2011 | 3,49511846 euros |
22/09/2011 | 3,46521029 euros |
21/09/2011 | 3,64490871 euros |
20/09/2011 | 3,71150621 euros |
19/09/2011 | 3,65261758 euros |
18/09/2011 | 3,74115905 euros |
17/09/2011 | 3,74139288 euros |
16/09/2011 | 3,74162683 euros |
15/09/2011 | 3,71743713 euros |
14/09/2011 | 3,62466754 euros |
13/09/2011 | 3,57177286 euros |
12/09/2011 | 3,52897389 euros |
11/09/2011 | 3,64722953 euros |
10/09/2011 | 3,64745794 euros |
09/09/2011 | 3,64768669 euros |
08/09/2011 | 3,76617234 euros |
07/09/2011 | 3,73359032 euros |
06/09/2011 | 3,62072792 euros |
05/09/2011 | 3,64555071 euros |
04/09/2011 | 3,79644842 euros |
03/09/2011 | 3,79668608 euros |
02/09/2011 | 3,79692363 euros |
01/09/2011 | 3,90496737 euros |
31/08/2011 | 3,89686234 euros |
30/08/2011 | 3,79015293 euros |
29/08/2011 | 3,74742944 euros |
28/08/2011 | 3,6907617 euros |