Fondos liquidativos

Fondo: CAIXABANK RENTA FIJA DOLAR, FI CLASE ESTANDAR

Fecha

Valor liquidativo

30/01/1996 44,40678
29/01/1996 44,27232
28/01/1996 44,26709
27/01/1996 44,26186
26/01/1996 43,88914
25/01/1996 44,0396
24/01/1996 43,79206
23/01/1996 43,92363
22/01/1996 43,66169
21/01/1996 43,65662
20/01/1996 43,65147
19/01/1996 43,64625
18/01/1996 43,4701
17/01/1996 43,32313
16/01/1996 43,0005
15/01/1996 42,98989
14/01/1996 42,98466
13/01/1996 42,97941
12/01/1996 42,79371
11/01/1996 42,85274
10/01/1996 42,95958
09/01/1996 42,84218
08/01/1996 42,96683
07/01/1996 42,96161
06/01/1996 42,95631
05/01/1996 43,06416
04/01/1996 42,88969
03/01/1996 42,80627
02/01/1996 42,90846
01/01/1996 42,90328
31/12/1995 42,8982
30/12/1995 42,89307
29/12/1995 42,87782
28/12/1995 42,98741
27/12/1995 43,10774
26/12/1995 43,10266
25/12/1995 43,0973
24/12/1995 43,09194
23/12/1995 43,08644
22/12/1995 43,00423
21/12/1995 43,1042
20/12/1995 43,04214
19/12/1995 43,12626
18/12/1995 43,21047
17/12/1995 43,20534
16/12/1995 43,20018
15/12/1995 43,26386
14/12/1995 43,29765
13/12/1995 43,28143
12/12/1995 43,22045