
Fondo: CAIXABANK BOLSA SELECCION GLOBAL, FI CLASE ESTANDAR
Fecha |
Valor liquidativo |
---|---|
04/07/2002 | 6,05755408 euros |
03/07/2002 | 6,05731832 euros |
02/07/2002 | 6,05696281 euros |
01/07/2002 | 6,05677281 euros |
30/06/2002 | 6,0565791 euros |
29/06/2002 | 6,0563253 euros |
28/06/2002 | 6,05605789 euros |
27/06/2002 | 6,05594843 euros |
26/06/2002 | 6,05542991 euros |
25/06/2002 | 6,05570968 euros |
24/06/2002 | 6,05523175 euros |
23/06/2002 | 6,0556994 euros |
22/06/2002 | 6,0554535 euros |
21/06/2002 | 6,05520478 euros |
20/06/2002 | 6,05509719 euros |
19/06/2002 | 6,05504711 euros |
18/06/2002 | 6,05503873 euros |
17/06/2002 | 6,05493543 euros |
16/06/2002 | 6,0543427 euros |
15/06/2002 | 6,0540972 euros |
14/06/2002 | 6,05384683 euros |
13/06/2002 | 6,05377669 euros |
12/06/2002 | 6,05353911 euros |
11/06/2002 | 6,05342242 euros |
10/06/2002 | 6,05316541 euros |
09/06/2002 | 6,0529551 euros |
08/06/2002 | 6,0527113 euros |
07/06/2002 | 6,05246315 euros |
06/06/2002 | 6,05246142 euros |
05/06/2002 | 6,05230766 euros |
04/06/2002 | 6,05195578 euros |
03/06/2002 | 6,05204716 euros |
02/06/2002 | 6,0517234 euros |
01/06/2002 | 6,0514766 euros |
31/05/2002 | 6,05122963 euros |
30/05/2002 | 6,05105788 euros |
29/05/2002 | 6,0510253 euros |
28/05/2002 | 6,05093818 euros |
27/05/2002 | 6,05083929 euros |
26/05/2002 | 6,0506682 euros |
25/05/2002 | 6,0504328 euros |
24/05/2002 | 6,05019935 euros |
23/05/2002 | 6,04991066 euros |
22/05/2002 | 6,04949952 euros |
21/05/2002 | 6,04936358 euros |
20/05/2002 | 6,04916939 euros |
19/05/2002 | 6,0490626 euros |
18/05/2002 | 6,0488349 euros |
17/05/2002 | 6,04860545 euros |
16/05/2002 | 6,04843445 euros |