Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

20/03/1991 1344,18436
19/03/1991 1344,18436
18/03/1991 1319,97079
17/03/1991 0,0
16/03/1991 1319,97079
15/03/1991 1319,97079
14/03/1991 1301,8119
13/03/1991 1315,46116
12/03/1991 1315,46116
11/03/1991 1295,02162
10/03/1991 0,0
09/03/1991 1295,02162
08/03/1991 1283,63501
07/03/1991 1287,57611
06/03/1991 1257,59542
05/03/1991 1249,97756
04/03/1991 1248,87562
03/03/1991 0,0
02/03/1991 1248,87562
01/03/1991 1265,72543
28/02/1991 1256,42709
27/02/1991 1255,49581
26/02/1991 1270,36668
25/02/1991 1247,41082
24/02/1991 0,0
23/02/1991 1247,41082
22/02/1991 1238,85415
21/02/1991 1237,93228
20/02/1991 1248,76867
19/02/1991 1242,96734
18/02/1991 1239,44943
17/02/1991 0,0
16/02/1991 1239,44943
15/02/1991 1223,16035
14/02/1991 1213,88898
13/02/1991 1205,10967
12/02/1991 1200,80134
11/02/1991 1185,80073
10/02/1991 0,0
09/02/1991 1185,80073
08/02/1991 1182,07719
07/02/1991 1175,05052
06/02/1991 1175,05052
05/02/1991 1144,2107
04/02/1991 1144,2107
03/02/1991 0,0
02/02/1991 1144,2107
01/02/1991 1151,98111
31/01/1991 1148,13269
30/01/1991 1128,39144