Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

15/10/1993 1750,70736
14/10/1993 1742,86844
13/10/1993 1739,6312
12/10/1993 0,0
11/10/1993 1728,13429
10/10/1993 0,0
09/10/1993 0,0
08/10/1993 1720,56356
07/10/1993 1721,87219
06/10/1993 1713,01967
05/10/1993 1702,62287
04/10/1993 1707,63255
03/10/1993 0,0
02/10/1993 0,0
01/10/1993 1705,57648
30/09/1993 1703,54354
29/09/1993 1703,2295
28/09/1993 1696,58025
27/09/1993 1681,61005
26/09/1993 0,0
25/09/1993 0,0
24/09/1993 1684,8014
23/09/1993 1690,00676
22/09/1993 1703,03445
21/09/1993 1709,32525
20/09/1993 1694,04749
19/09/1993 0,0
18/09/1993 0,0
17/09/1993 1686,66774
16/09/1993 1686,18625
15/09/1993 1707,49345
14/09/1993 1693,18724
13/09/1993 1705,03139
12/09/1993 0,0
11/09/1993 0,0
10/09/1993 1719,09506
09/09/1993 1728,11314
08/09/1993 1731,44032
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