Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

16/12/1993 1781,47768
15/12/1993 1782,83534
14/12/1993 1799,48863
13/12/1993 1798,39287
12/12/1993 1798,42133
11/12/1993 1798,45386
10/12/1993 1801,12013
09/12/1993 1784,55416
08/12/1993 1784,61418
07/12/1993 1770,94177
06/12/1993 1770,9656
05/12/1993 1770,98946
04/12/1993 1771,02623
03/12/1993 1767,88271
02/12/1993 1752,34431
01/12/1993 1724,35119
30/11/1993 1738,28358
29/11/1993 1749,37681
28/11/1993 1749,37201
27/11/1993 1749,38329
26/11/1993 1743,54662
25/11/1993 1732,98427
24/11/1993 1748,61523
23/11/1993 1760,69464
22/11/1993 1781,98358
21/11/1993 1781,96994
20/11/1993 1781,96108
19/11/1993 1790,75682
18/11/1993 1795,30624
17/11/1993 1780,39027
16/11/1993 1770,68973
15/11/1993 1765,99138
14/11/1993 0,0
13/11/1993 0,0
12/11/1993 1766,77175
11/11/1993 1762,84873
10/11/1993 1764,93437
09/11/1993 1757,1917
08/11/1993 1759,11789
07/11/1993 0,0
06/11/1993 0,0
05/11/1993 1786,77897
04/11/1993 1792,6566
03/11/1993 1788,36717
02/11/1993 1792,75942
01/11/1993 0,0
31/10/1993 0,0
30/10/1993 0,0
29/10/1993 1785,11288
28/10/1993 1773,24418