Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

27/06/2002 23,06088723 euros
26/06/2002 22,6582927 euros
25/06/2002 23,1112113 euros
24/06/2002 22,52374802 euros
23/06/2002 23,28295578 euros
22/06/2002 23,28429411 euros
21/06/2002 23,28563251 euros
20/06/2002 23,42291781 euros
19/06/2002 23,90072443 euros
18/06/2002 24,38969412 euros
17/06/2002 24,42690905 euros
16/06/2002 23,41034798 euros
15/06/2002 23,41168765 euros
14/06/2002 23,41302738 euros
13/06/2002 24,06328869 euros
12/06/2002 24,31913373 euros
11/06/2002 24,96402089 euros
10/06/2002 24,52722464 euros
09/06/2002 24,56082725 euros
08/06/2002 24,56225295 euros
07/06/2002 24,56367873 euros
06/06/2002 25,0640203 euros
05/06/2002 24,99881519 euros
04/06/2002 24,9408913 euros
03/06/2002 25,81925511 euros
02/06/2002 26,13682095 euros
01/06/2002 26,13830162 euros
31/05/2002 26,13980001 euros
30/05/2002 25,84648287 euros
29/05/2002 26,39594084 euros
28/05/2002 26,4439193 euros
27/05/2002 26,65356103 euros
26/05/2002 26,48599255 euros
25/05/2002 26,48749027 euros
24/05/2002 26,48898806 euros
23/05/2002 26,41792515 euros
22/05/2002 26,35467636 euros
21/05/2002 26,74493275 euros
20/05/2002 26,78208929 euros
19/05/2002 27,02713008 euros
18/05/2002 27,02867103 euros
17/05/2002 27,03021206 euros
16/05/2002 27,15262383 euros
15/05/2002 27,27186057 euros
14/05/2002 27,13302263 euros
13/05/2002 26,65004756 euros
12/05/2002 26,30478403 euros
11/05/2002 26,30629006 euros
10/05/2002 26,30779619 euros
09/05/2002 26,7433812 euros