Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE ESPAÑA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

02/02/2000 7,547682 euros
01/02/2000 7,443012 euros
31/01/2000 7,2806005 euros
30/01/2000 7,4290008 euros
29/01/2000 7,4291165 euros
28/01/2000 7,4292321 euros
27/01/2000 7,4400921 euros
26/01/2000 7,3272822 euros
25/01/2000 7,2213029 euros
24/01/2000 7,3260115 euros
23/01/2000 7,2991568 euros
22/01/2000 7,2992915 euros
21/01/2000 7,2994262 euros
20/01/2000 7,3413377 euros
19/01/2000 7,3569319 euros
18/01/2000 7,3559135 euros
17/01/2000 7,5350125 euros
16/01/2000 7,4277543 euros
15/01/2000 7,4278916 euros
14/01/2000 7,428029 euros
13/01/2000 7,2315883 euros
12/01/2000 7,1836762 euros
11/01/2000 7,1910654 euros
10/01/2000 7,2670103 euros
09/01/2000 7,1841825 euros
08/01/2000 7,1843297 euros
07/01/2000 7,1844769 euros
06/01/2000 6,997164 euros
05/01/2000 7,0701817 euros
04/01/2000 7,2632251 euros
03/01/2000 7,5934163 euros
02/01/2000 7,6387964 euros
01/01/2000 7,638945 euros
31/12/1999 7,6390966 euros
30/12/1999 7,6398989 euros
29/12/1999 7,5160086 euros
28/12/1999 7,4652384 euros
27/12/1999 7,4483594 euros
26/12/1999 7,4456115 euros
25/12/1999 7,4457704 euros
24/12/1999 7,4459293 euros
23/12/1999 7,4300652 euros
22/12/1999 7,298524 euros
21/12/1999 7,2453251 euros
20/12/1999 7,2681312 euros
19/12/1999 7,2257438 euros
18/12/1999 7,2258916 euros
17/12/1999 7,2260396 euros
16/12/1999 7,1710497 euros
15/12/1999 7,145148 euros