Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

16/12/1994 1730,93221
15/12/1994 1741,75923
14/12/1994 1745,47941
13/12/1994 1748,51073
12/12/1994 1759,64462
11/12/1994 1759,71481
10/12/1994 1759,78348
09/12/1994 1771,28462
08/12/1994 1771,35428
07/12/1994 1773,59969
06/12/1994 1773,66776
05/12/1994 1759,45558
04/12/1994 1759,5236
03/12/1994 1759,5917
02/12/1994 1749,83972
01/12/1994 1755,50043
30/11/1994 1743,33208
29/11/1994 1759,4502
28/11/1994 1758,71026
27/11/1994 1758,78036
26/11/1994 1758,89549
25/11/1994 1752,02446
24/11/1994 1740,27694
23/11/1994 1753,6415
22/11/1994 1762,08957
21/11/1994 1749,49623
20/11/1994 1749,56365
19/11/1994 1749,63017
18/11/1994 1745,60438
17/11/1994 1750,78875
16/11/1994 1761,28317
15/11/1994 1744,63052
14/11/1994 1702,39519
13/11/1994 1702,45792
12/11/1994 1702,51936
11/11/1994 1727,27034
10/11/1994 1716,39787
09/11/1994 1698,02591
08/11/1994 1700,1965
07/11/1994 1712,94577
06/11/1994 1713,00691
05/11/1994 1713,06662
04/11/1994 1706,49849
03/11/1994 1694,61102
02/11/1994 1713,48223
01/11/1994 1713,54357
31/10/1994 1706,47101
30/10/1994 1706,53451
29/10/1994 1706,59364
28/10/1994 1679,48008