Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

14/06/1992 0,0
13/06/1992 0,0
12/06/1992 1349,39346
11/06/1992 1355,66787
10/06/1992 1354,73949
09/06/1992 1364,44539
08/06/1992 1366,05754
07/06/1992 0,0
06/06/1992 0,0
05/06/1992 1377,0365
04/06/1992 1384,39046
03/06/1992 1387,83096
02/06/1992 1387,22493
01/06/1992 1388,40503
31/05/1992 0,0
30/05/1992 1401,30498
29/05/1992 1394,46661
28/05/1992 1390,17443
27/05/1992 1392,72831
26/05/1992 1390,88116
25/05/1992 1395,36109
24/05/1992 0,0
23/05/1992 1395,23063
22/05/1992 1395,31753
21/05/1992 1392,33652
20/05/1992 1390,89817
19/05/1992 1392,50911
18/05/1992 1388,72715
17/05/1992 0,0
16/05/1992 1388,60936
15/05/1992 1393,1863
14/05/1992 1392,10298
13/05/1992 1382,32706
12/05/1992 1385,89091
11/05/1992 1371,69466
10/05/1992 0,0
09/05/1992 1371,58
08/05/1992 1360,5282
07/05/1992 1355,04773
06/05/1992 1352,05908
05/05/1992 1351,82818
04/05/1992 1352,24269
03/05/1992 0,0
02/05/1992 1352,11942
01/05/1992 0,0
30/04/1992 1355,71119
29/04/1992 1354,65409
28/04/1992 1356,04733
27/04/1992 1357,92198
26/04/1992 0,0