Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

10/12/1999 34,364683 euros
09/12/1999 34,6672766 euros
08/12/1999 34,6158407 euros
07/12/1999 34,7507627 euros
06/12/1999 34,3758056 euros
05/12/1999 34,3351477 euros
04/12/1999 34,3374007 euros
03/12/1999 34,3396544 euros
02/12/1999 33,4932551 euros
01/12/1999 33,5244212 euros
30/11/1999 33,3190838 euros
29/11/1999 33,7006255 euros
28/11/1999 33,8329148 euros
27/11/1999 33,835095 euros
26/11/1999 33,8372757 euros
25/11/1999 33,5608225 euros
24/11/1999 32,7786708 euros
23/11/1999 32,6866481 euros
22/11/1999 32,5994557 euros
21/11/1999 33,1812068 euros
20/11/1999 33,183374 euros
19/11/1999 33,1855414 euros
18/11/1999 33,1681373 euros
17/11/1999 32,6856755 euros
16/11/1999 32,6955467 euros
15/11/1999 32,5139642 euros
14/11/1999 32,0453359 euros
13/11/1999 32,0474332 euros
12/11/1999 32,0495305 euros
11/11/1999 32,078085 euros
10/11/1999 31,6048357 euros
09/11/1999 31,3173615 euros
08/11/1999 31,2287437 euros
07/11/1999 31,1489324 euros
06/11/1999 31,150985 euros
05/11/1999 31,1530348 euros
04/11/1999 30,998747 euros
03/11/1999 30,7116542 euros
02/11/1999 30,4710335 euros
01/11/1999 30,2097742 euros
31/10/1999 30,2816306 euros
30/10/1999 30,2836139 euros
29/10/1999 30,2827445 euros
28/10/1999 29,8251839 euros
27/10/1999 29,2406442 euros
26/10/1999 29,3314541 euros
25/10/1999 29,0395415 euros
24/10/1999 29,1915664 euros
23/10/1999 29,1934413 euros
22/10/1999 29,1953167 euros