Fondos liquidativos

Fondo: CAIXABANK DIVERSIFICADO DINAMICO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

01/08/2009 5,84472436 euros
31/07/2009 5,84489356 euros
30/07/2009 5,84521751 euros
29/07/2009 5,80791952 euros
28/07/2009 5,82025765 euros
27/07/2009 5,82257503 euros
26/07/2009 5,80057541 euros
25/07/2009 5,80075411 euros
24/07/2009 5,80093258 euros
23/07/2009 5,78658464 euros
22/07/2009 5,76727923 euros
21/07/2009 5,751444 euros
20/07/2009 5,74178248 euros
19/07/2009 5,73191264 euros
18/07/2009 5,73208459 euros
17/07/2009 5,73225628 euros
16/07/2009 5,72636113 euros
15/07/2009 5,71639164 euros
14/07/2009 5,69354859 euros
13/07/2009 5,69052666 euros
12/07/2009 5,68688939 euros
11/07/2009 5,68705945 euros
10/07/2009 5,68722938 euros
09/07/2009 5,69338325 euros
08/07/2009 5,68442517 euros
07/07/2009 5,69463092 euros
06/07/2009 5,70847584 euros
05/07/2009 5,71242429 euros
04/07/2009 5,71258696 euros
03/07/2009 5,71274929 euros
02/07/2009 5,71339167 euros
01/07/2009 5,72420767 euros
30/06/2009 5,71001005 euros
29/06/2009 5,70867892 euros
28/06/2009 5,69929764 euros
27/06/2009 5,69946547 euros
26/06/2009 5,69963358 euros
25/06/2009 5,70376355 euros
24/06/2009 5,68527798 euros
23/06/2009 5,67318161 euros
22/06/2009 5,66896186 euros
21/06/2009 5,69261389 euros
20/06/2009 5,69276813 euros
19/06/2009 5,69292228 euros
18/06/2009 5,68824047 euros
17/06/2009 5,7003574 euros
16/06/2009 5,69610053 euros
15/06/2009 5,70451882 euros
14/06/2009 5,73319466 euros
13/06/2009 5,73334613 euros