Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

01/08/2001 31,18851 euros
31/07/2001 31,1821463 euros
30/07/2001 30,8575998 euros
29/07/2001 30,4095477 euros
28/07/2001 30,4111517 euros
27/07/2001 30,412756 euros
26/07/2001 29,8952911 euros
25/07/2001 29,4886054 euros
24/07/2001 29,9998629 euros
23/07/2001 30,3456056 euros
22/07/2001 30,0946501 euros
21/07/2001 30,0962322 euros
20/07/2001 30,0978144 euros
19/07/2001 30,4113506 euros
18/07/2001 29,8246922 euros
17/07/2001 30,4610035 euros
16/07/2001 30,5815671 euros
15/07/2001 30,8068579 euros
14/07/2001 30,8084878 euros
13/07/2001 30,810118 euros
12/07/2001 30,5822352 euros
11/07/2001 30,3033506 euros
10/07/2001 30,7487714 euros
09/07/2001 31,0884993 euros
08/07/2001 31,0754554 euros
07/07/2001 31,0771007 euros
06/07/2001 31,0787459 euros
05/07/2001 31,9021639 euros
04/07/2001 32,1237312 euros
03/07/2001 32,3501628 euros
02/07/2001 32,7932051 euros
01/07/2001 32,3405836 euros
30/06/2001 32,3422744 euros
29/06/2001 32,3439641 euros
28/06/2001 31,7818067 euros
27/06/2001 31,4555312 euros
26/06/2001 31,5844001 euros
25/06/2001 32,1050068 euros
24/06/2001 31,9802381 euros
23/06/2001 31,9819269 euros
22/06/2001 31,9836159 euros
21/06/2001 31,8217426 euros
20/06/2001 31,8449565 euros
19/06/2001 31,9881101 euros
18/06/2001 31,8041241 euros
17/06/2001 32,2624495 euros
16/06/2001 32,2641491 euros
15/06/2001 32,2658488 euros
14/06/2001 32,608416 euros
13/06/2001 33,0011209 euros