Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

27/07/2000 38,6422505 euros
26/07/2000 39,5485051 euros
25/07/2000 39,475672 euros
24/07/2000 39,6613859 euros
23/07/2000 39,6473726 euros
22/07/2000 39,6494672 euros
21/07/2000 39,6515615 euros
20/07/2000 40,2102416 euros
19/07/2000 40,0627665 euros
18/07/2000 40,2143484 euros
17/07/2000 40,5173501 euros
16/07/2000 40,2499079 euros
15/07/2000 40,2520253 euros
14/07/2000 40,2553521 euros
13/07/2000 40,1031375 euros
12/07/2000 39,7330946 euros
11/07/2000 39,6115931 euros
10/07/2000 39,8254403 euros
09/07/2000 39,7456769 euros
08/07/2000 39,7477396 euros
07/07/2000 39,7498029 euros
06/07/2000 39,0420989 euros
05/07/2000 39,1360053 euros
04/07/2000 39,2887707 euros
03/07/2000 39,3020969 euros
02/07/2000 38,9863479 euros
01/07/2000 38,9884313 euros
30/06/2000 38,9904336 euros
29/06/2000 38,3749639 euros
28/06/2000 39,6019241 euros
27/06/2000 39,4703575 euros
26/06/2000 39,6617738 euros
25/06/2000 39,6843914 euros
24/06/2000 39,6864537 euros
23/06/2000 39,6887847 euros
22/06/2000 39,648746 euros
21/06/2000 39,7919534 euros
20/06/2000 40,2200472 euros
19/06/2000 39,9255098 euros
18/06/2000 39,9650531 euros
17/06/2000 39,9673686 euros
16/06/2000 39,969684 euros
15/06/2000 40,3842633 euros
14/06/2000 40,6776157 euros
13/06/2000 40,1261039 euros
12/06/2000 40,0584624 euros
11/06/2000 40,0377146 euros
10/06/2000 40,040033 euros
09/06/2000 40,0423514 euros
08/06/2000 39,9952066 euros