Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

20/11/2005 26,41367499 euros
19/11/2005 26,41492443 euros
18/11/2005 26,41617386 euros
17/11/2005 26,25313572 euros
16/11/2005 26,1532848 euros
15/11/2005 26,31923381 euros
14/11/2005 26,31272595 euros
13/11/2005 26,26498857 euros
12/11/2005 26,26625649 euros
11/11/2005 26,26752423 euros
10/11/2005 25,96281675 euros
09/11/2005 25,9186679 euros
08/11/2005 25,93056535 euros
07/11/2005 25,94839605 euros
06/11/2005 25,87219061 euros
05/11/2005 25,8735458 euros
04/11/2005 25,87490077 euros
03/11/2005 25,92757576 euros
02/11/2005 25,64456173 euros
01/11/2005 25,55607657 euros
31/10/2005 25,6025852 euros
30/10/2005 25,0803182 euros
29/10/2005 25,08162004 euros
28/10/2005 25,08292163 euros
27/10/2005 25,02639643 euros
26/10/2005 25,48159091 euros
25/10/2005 25,38967485 euros
24/10/2005 25,56190365 euros
23/10/2005 25,26420911 euros
22/10/2005 25,26553077 euros
21/10/2005 25,26685296 euros
20/10/2005 25,33290561 euros
19/10/2005 25,34890289 euros
18/10/2005 25,72165706 euros
17/10/2005 25,88116511 euros
16/10/2005 25,84565865 euros
15/10/2005 25,84700735 euros
14/10/2005 25,84835614 euros
13/10/2005 25,69998864 euros
12/10/2005 25,9052698 euros
11/10/2005 26,12879809 euros
10/10/2005 26,09008888 euros
09/10/2005 26,03185429 euros
08/10/2005 26,03321725 euros
07/10/2005 26,03458098 euros
06/10/2005 26,07791626 euros
05/10/2005 26,37663246 euros
04/10/2005 26,72067117 euros
03/10/2005 26,61365825 euros
02/10/2005 26,45952035 euros