Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

07/09/1993 1724,55867
06/09/1993 1730,33401
05/09/1993 0,0
04/09/1993 0,0
03/09/1993 1736,63604
02/09/1993 1729,37801
01/09/1993 1756,79911
31/08/1993 1765,94047
30/08/1993 1760,50563
29/08/1993 0,0
28/08/1993 0,0
27/08/1993 1748,75349
26/08/1993 1740,33602
25/08/1993 1719,98841
24/08/1993 1712,41288
23/08/1993 1715,63095
22/08/1993 0,0
21/08/1993 0,0
20/08/1993 1715,9648
19/08/1993 1709,52903
18/08/1993 1694,42383
17/08/1993 1674,38723
16/08/1993 1673,50901
15/08/1993 0,0
14/08/1993 0,0
13/08/1993 1665,22377
12/08/1993 1645,24089
11/08/1993 1631,96983
10/08/1993 1626,42198
09/08/1993 1628,36419
08/08/1993 0,0
07/08/1993 0,0
06/08/1993 1617,53292
05/08/1993 1619,19436
04/08/1993 1621,67408
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