Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

04/07/1994 1689,64333
03/07/1994 1689,67218
02/07/1994 1689,88587
01/07/1994 1699,40136
30/06/1994 1724,53317
29/06/1994 1721,25088
28/06/1994 1698,77063
27/06/1994 1715,66897
26/06/1994 1715,70269
25/06/1994 1715,73638
24/06/1994 1734,1106
23/06/1994 1705,63911
22/06/1994 1688,99992
21/06/1994 1717,56234
20/06/1994 1740,69286
19/06/1994 1740,72479
18/06/1994 1740,75774
17/06/1994 1750,69459
16/06/1994 1781,59036
15/06/1994 1798,26473
14/06/1994 1794,59606
13/06/1994 1814,57194
12/06/1994 1814,60459
11/06/1994 1814,63685
10/06/1994 1803,15935
09/06/1994 1809,68675
08/06/1994 1802,32231
07/06/1994 1817,51807
06/06/1994 1815,50803
05/06/1994 1815,53925
04/06/1994 1815,57
03/06/1994 1804,4227
02/06/1994 1789,73685
01/06/1994 1829,76476
31/05/1994 1850,4479
30/05/1994 1849,76363
29/05/1994 1849,79586
28/05/1994 1849,82669
27/05/1994 1855,99471
26/05/1994 1851,73953
25/05/1994 1876,78061
24/05/1994 1889,0029
23/05/1994 1888,32599
22/05/1994 1888,35981
21/05/1994 1888,39413
20/05/1994 1873,22126
19/05/1994 1879,64358
18/05/1994 1874,02959
17/05/1994 1869,94001
16/05/1994 1850,46003