Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

17/06/1995 1754,11194
16/06/1995 1757,46212
15/06/1995 1759,14263
14/06/1995 1757,29013
13/06/1995 1746,20681
12/06/1995 1759,60908
11/06/1995 1759,66144
10/06/1995 1759,71227
09/06/1995 1770,04859
08/06/1995 1764,10821
07/06/1995 1769,71502
06/06/1995 1770,779
05/06/1995 1767,81615
04/06/1995 1767,87369
03/06/1995 1767,9306
02/06/1995 1764,49362
01/06/1995 1750,55148
31/05/1995 1750,07297
30/05/1995 1744,71678
29/05/1995 1753,95038
28/05/1995 1754,00899
27/05/1995 1754,06933
26/05/1995 1764,79817
25/05/1995 1791,7153
24/05/1995 1783,07417
23/05/1995 1768,58431
22/05/1995 1742,25954
21/05/1995 1742,31513
20/05/1995 1742,37366
19/05/1995 1750,28892
18/05/1995 1752,24534
17/05/1995 1753,10021
16/05/1995 1756,8996
15/05/1995 1754,14424
14/05/1995 1754,20279
13/05/1995 1754,26014
12/05/1995 1772,14085
11/05/1995 1765,67847
10/05/1995 1765,76402
09/05/1995 1759,5163
08/05/1995 1729,45538
07/05/1995 1729,51612
06/05/1995 1729,57386
05/05/1995 1730,04701
04/05/1995 1715,14788
03/05/1995 1688,78801
02/05/1995 1679,6
01/05/1995 1679,65885
30/04/1995 1679,71772
29/04/1995 1679,76971