Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE ESPAÑA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

21/06/2002 4,87291711 euros
20/06/2002 4,89006246 euros
19/06/2002 4,98827195 euros
18/06/2002 5,08139604 euros
17/06/2002 5,12450501 euros
16/06/2002 4,92154179 euros
15/06/2002 4,92158879 euros
14/06/2002 4,9216358 euros
13/06/2002 5,05315047 euros
12/06/2002 5,10833714 euros
11/06/2002 5,23734913 euros
10/06/2002 5,17582757 euros
09/06/2002 5,16769354 euros
08/06/2002 5,1677456 euros
07/06/2002 5,16779765 euros
06/06/2002 5,25675358 euros
05/06/2002 5,2771925 euros
04/06/2002 5,30782189 euros
03/06/2002 5,43123918 euros
02/06/2002 5,47320371 euros
01/06/2002 5,47326071 euros
31/05/2002 5,47332386 euros
30/05/2002 5,40862603 euros
29/05/2002 5,51432316 euros
28/05/2002 5,52697572 euros
27/05/2002 5,59455315 euros
26/05/2002 5,58802772 euros
25/05/2002 5,58809064 euros
24/05/2002 5,58815356 euros
23/05/2002 5,58137974 euros
22/05/2002 5,57019625 euros
21/05/2002 5,63934048 euros
20/05/2002 5,65217617 euros
19/05/2002 5,69143905 euros
18/05/2002 5,6914986 euros
17/05/2002 5,69155817 euros
16/05/2002 5,72821056 euros
15/05/2002 5,75962838 euros
14/05/2002 5,71558075 euros
13/05/2002 5,63172128 euros
12/05/2002 5,56780835 euros
11/05/2002 5,56787229 euros
10/05/2002 5,56793626 euros
09/05/2002 5,65539546 euros
08/05/2002 5,66628821 euros
07/05/2002 5,53505958 euros
06/05/2002 5,59749639 euros
05/05/2002 5,6294935 euros
04/05/2002 5,62955068 euros
03/05/2002 5,62960785 euros