Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

10/09/1992 1241,55122
09/09/1992 1249,31071
08/09/1992 1262,35388
07/09/1992 1262,35388
06/09/1992 0,0
05/09/1992 0,0
04/09/1992 1259,60646
03/09/1992 1236,77236
02/09/1992 1225,0474
01/09/1992 1220,07405
31/08/1992 1220,83056
30/08/1992 0,0
29/08/1992 0,0
28/08/1992 1220,44084
27/08/1992 1213,56998
26/08/1992 1221,44789
25/08/1992 1226,18376
24/08/1992 1235,57917
23/08/1992 0,0
22/08/1992 0,0
21/08/1992 1230,17056
20/08/1992 1228,45528
19/08/1992 1229,40908
18/08/1992 1230,63411
17/08/1992 1225,95037
16/08/1992 0,0
15/08/1992 0,0
14/08/1992 1216,82016
13/08/1992 1216,64094
12/08/1992 1229,29191
11/08/1992 1244,79919
10/08/1992 1252,76888
09/08/1992 0,0
08/08/1992 0,0
07/08/1992 1258,94073
06/08/1992 1260,1109
05/08/1992 1260,25982
04/08/1992 1254,42071
03/08/1992 1253,69856
02/08/1992 0,0
01/08/1992 0,0
31/07/1992 1248,94533
30/07/1992 1248,23208
29/07/1992 1231,09083
28/07/1992 1232,11582
27/07/1992 1238,6335
26/07/1992 0,0
25/07/1992 0,0
24/07/1992 1240,40575
23/07/1992 1247,0928