Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

03/08/1993 1629,48129
02/08/1993 1613,98057
01/08/1993 0,0
31/07/1993 0,0
30/07/1993 1606,7985
29/07/1993 1582,43133
28/07/1993 1575,35404
27/07/1993 1572,7259
26/07/1993 1567,0685
25/07/1993 0,0
24/07/1993 0,0
23/07/1993 1561,26357
22/07/1993 1559,0701
21/07/1993 1562,93272
20/07/1993 1555,90982
19/07/1993 1559,89398
18/07/1993 0,0
17/07/1993 0,0
16/07/1993 1563,8347
15/07/1993 1567,05582
14/07/1993 1564,39921
13/07/1993 1558,07487
12/07/1993 1559,10912
11/07/1993 0,0
10/07/1993 0,0
09/07/1993 1560,38509
08/07/1993 1555,27556
07/07/1993 1558,26708
06/07/1993 1548,43991
05/07/1993 1557,18904
04/07/1993 0,0
03/07/1993 0,0
02/07/1993 1561,16201
01/07/1993 1562,09044
30/06/1993 1546,93662
29/06/1993 1550,81255
28/06/1993 1548,60853
27/06/1993 0,0
26/06/1993 0,0
25/06/1993 1561,97463
24/06/1993 1566,39212
23/06/1993 1576,21874
22/06/1993 1570,49163
21/06/1993 1575,15585
20/06/1993 0,0
19/06/1993 0,0
18/06/1993 1557,29109
17/06/1993 1556,67334
16/06/1993 1553,30083
15/06/1993 1553,90668