Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

08/10/1991 1325,64637
07/10/1991 1315,6884
06/10/1991 0,0
05/10/1991 1315,49621
04/10/1991 1326,94694
03/10/1991 1326,82699
02/10/1991 1340,26731
01/10/1991 1340,38638
30/09/1991 1343,66848
29/09/1991 0,0
28/09/1991 0,0
27/09/1991 1354,49242
26/09/1991 1355,37783
25/09/1991 1355,5327
24/09/1991 1355,51014
23/09/1991 1353,92535
22/09/1991 0,0
21/09/1991 0,0
20/09/1991 1332,24255
19/09/1991 1331,00509
18/09/1991 1327,61286
17/09/1991 1326,81629
16/09/1991 1330,57239
15/09/1991 0,0
14/09/1991 0,0
13/09/1991 1329,72055
12/09/1991 1329,36673
11/09/1991 1329,33193
10/09/1991 1332,31571
09/09/1991 1335,60984
08/09/1991 0,0
07/09/1991 0,0
06/09/1991 1338,30581
05/09/1991 1338,26172
04/09/1991 1338,19918
03/09/1991 1337,91172
02/09/1991 1330,86233
01/09/1991 0,0
31/08/1991 0,0
30/08/1991 1329,39639
29/08/1991 1327,94236
28/08/1991 1328,77349
27/08/1991 1325,75698
26/08/1991 1310,14878
25/08/1991 0,0
24/08/1991 0,0
23/08/1991 1311,06901
22/08/1991 1285,91034
21/08/1991 1277,434
20/08/1991 1219,28164