Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

07/09/1994 1693,35797
06/09/1994 1714,25748
05/09/1994 1738,6744
04/09/1994 1738,71926
03/09/1994 1738,76241
02/09/1994 1753,82813
01/09/1994 1778,4112
31/08/1994 1784,71445
30/08/1994 1790,1079
29/08/1994 1769,31828
28/08/1994 1769,3649
27/08/1994 1769,41158
26/08/1994 1754,64795
25/08/1994 1747,12026
24/08/1994 1740,35972
23/08/1994 1733,71574
22/08/1994 1745,40535
21/08/1994 1745,44869
20/08/1994 1745,491
19/08/1994 1750,90235
18/08/1994 1762,70128
17/08/1994 1770,6265
16/08/1994 1779,9546
15/08/1994 1780,04914
14/08/1994 1780,09343
13/08/1994 1780,13598
12/08/1994 1812,63353
11/08/1994 1825,45664
10/08/1994 1826,66347
09/08/1994 1840,33575
08/08/1994 1834,91648
07/08/1994 1834,96257
06/08/1994 1835,00884
05/08/1994 1825,57889
04/08/1994 1826,99991
03/08/1994 1832,41632
02/08/1994 1822,50811
01/08/1994 1795,76523
31/07/1994 1795,80656
30/07/1994 1795,83226
29/07/1994 1776,01292
28/07/1994 1792,95308
27/07/1994 1790,11546
26/07/1994 1769,921
25/07/1994 1761,87748
24/07/1994 1761,92058
23/07/1994 1761,96377
22/07/1994 1748,80269
21/07/1994 1748,31781
20/07/1994 1756,12622