Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

26/05/1991 0,0
25/05/1991 1348,40571
24/05/1991 1353,12382
23/05/1991 1347,748
22/05/1991 1352,39271
21/05/1991 1349,53135
20/05/1991 1349,54089
19/05/1991 0,0
18/05/1991 1349,56004
17/05/1991 1349,55698
16/05/1991 1349,5656
15/05/1991 1349,57508
14/05/1991 1340,1548
13/05/1991 1340,63105
12/05/1991 0,0
11/05/1991 1340,647
10/05/1991 1329,00809
09/05/1991 1321,08524
08/05/1991 1323,37335
07/05/1991 1318,2764
06/05/1991 1301,45198
05/05/1991 0,0
04/05/1991 1301,46843
03/05/1991 1301,4766
02/05/1991 1301,61442
01/05/1991 0,0
30/04/1991 1310,74438
29/04/1991 1312,47603
28/04/1991 0,0
27/04/1991 1312,39532
26/04/1991 1319,11486
25/04/1991 1328,0782
24/04/1991 1324,15881
23/04/1991 1320,04037
22/04/1991 1328,45631
21/04/1991 0,0
20/04/1991 1328,48013
19/04/1991 1328,50237
18/04/1991 1335,34097
17/04/1991 1328,35951
16/04/1991 1329,27713
15/04/1991 1325,58488
14/04/1991 0,0
13/04/1991 1325,60967
12/04/1991 1315,69949
11/04/1991 1313,04408
10/04/1991 1322,26864
09/04/1991 1314,73365
08/04/1991 1324,4909
07/04/1991 0,0