Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

27/02/1995 1652,43388
26/02/1995 1652,50722
25/02/1995 1652,57735
24/02/1995 1663,4806
23/02/1995 1648,91427
22/02/1995 1656,26917
21/02/1995 1654,66045
20/02/1995 1668,89711
19/02/1995 1668,97103
18/02/1995 1669,04389
17/02/1995 1676,91262
16/02/1995 1692,54183
15/02/1995 1696,74491
14/02/1995 1684,4671
13/02/1995 1698,29449
12/02/1995 1698,37
11/02/1995 1698,44299
10/02/1995 1693,93537
09/02/1995 1685,74731
08/02/1995 1692,93547
07/02/1995 1698,54563
06/02/1995 1686,45627
05/02/1995 1686,53184
04/02/1995 1686,60703
03/02/1995 1664,46636
02/02/1995 1660,18059
01/02/1995 1646,48044
31/01/1995 1646,67118
30/01/1995 1651,58709
29/01/1995 1651,66496
28/01/1995 1651,73954
27/01/1995 1650,40734
26/01/1995 1634,20997
25/01/1995 1623,95018
24/01/1995 1612,04386
23/01/1995 1640,13494
22/01/1995 1642,03203
21/01/1995 1642,10881
20/01/1995 1657,13625
19/01/1995 1650,77546
18/01/1995 1648,58105
17/01/1995 1651,14482
16/01/1995 1631,36317
15/01/1995 1631,43795
14/01/1995 1631,51159
13/01/1995 1611,89458
12/01/1995 1608,03275
11/01/1995 1623,84954
10/01/1995 1628,57891
09/01/1995 1651,52841