Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

12/02/2001 35,0561054 euros
11/02/2001 34,7313655 euros
10/02/2001 34,733163 euros
09/02/2001 34,7349602 euros
08/02/2001 35,2398861 euros
07/02/2001 35,1145715 euros
06/02/2001 35,6425578 euros
05/02/2001 35,3692165 euros
04/02/2001 35,345675 euros
03/02/2001 35,3475022 euros
02/02/2001 35,3493294 euros
01/02/2001 35,6662723 euros
31/01/2001 36,1848946 euros
30/01/2001 35,7931325 euros
29/01/2001 36,0241744 euros
28/01/2001 36,0533262 euros
27/01/2001 36,0551933 euros
26/01/2001 36,0570604 euros
25/01/2001 36,1918467 euros
24/01/2001 36,1575059 euros
23/01/2001 35,9343689 euros
22/01/2001 35,9411115 euros
21/01/2001 35,7856798 euros
20/01/2001 35,7875248 euros
19/01/2001 35,7893699 euros
18/01/2001 36,0345291 euros
17/01/2001 36,2617678 euros
16/01/2001 35,5868526 euros
15/01/2001 36,0885709 euros
14/01/2001 35,921079 euros
13/01/2001 35,9229613 euros
12/01/2001 35,924844 euros
11/01/2001 35,5389434 euros
10/01/2001 34,9054996 euros
09/01/2001 35,2083101 euros
08/01/2001 35,7046466 euros
07/01/2001 35,8359825 euros
06/01/2001 35,8378607 euros
05/01/2001 35,839739 euros
04/01/2001 36,0117367 euros
03/01/2001 35,3250914 euros
02/01/2001 35,6456565 euros
01/01/2001 36,1404018 euros
31/12/2000 36,1423069 euros
30/12/2000 36,1441935 euros
29/12/2000 36,1485639 euros
28/12/2000 36,129395 euros
27/12/2000 35,7998559 euros
26/12/2000 35,3181741 euros
25/12/2000 35,3200032 euros