Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE ESPAÑA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

09/10/2000 7,5788054 euros
08/10/2000 7,7375513 euros
07/10/2000 7,737693 euros
06/10/2000 7,7380653 euros
05/10/2000 7,7689952 euros
04/10/2000 7,7170261 euros
03/10/2000 7,7571303 euros
02/10/2000 7,6985485 euros
01/10/2000 7,650946 euros
30/09/2000 7,6511136 euros
29/09/2000 7,6512812 euros
28/09/2000 7,6480021 euros
27/09/2000 7,6778947 euros
26/09/2000 7,664081 euros
25/09/2000 7,7320833 euros
24/09/2000 7,6494945 euros
23/09/2000 7,6496386 euros
22/09/2000 7,649827 euros
21/09/2000 7,6870171 euros
20/09/2000 7,8312529 euros
19/09/2000 7,9009041 euros
18/09/2000 7,9089843 euros
17/09/2000 7,948679 euros
16/09/2000 7,9488103 euros
15/09/2000 7,9491845 euros
14/09/2000 7,979561 euros
13/09/2000 7,9018368 euros
12/09/2000 8,009153 euros
11/09/2000 8,0499714 euros
10/09/2000 8,0333055 euros
09/09/2000 8,0333784 euros
08/09/2000 8,0344446 euros
07/09/2000 8,1810719 euros
06/09/2000 8,1142101 euros
05/09/2000 8,1485691 euros
04/09/2000 8,2117812 euros
03/09/2000 8,1388281 euros
02/09/2000 8,1390438 euros
01/09/2000 8,1382584 euros
31/08/2000 7,9831781 euros
30/08/2000 7,9470343 euros
29/08/2000 7,9621689 euros
28/08/2000 7,9828434 euros
27/08/2000 7,9596116 euros
26/08/2000 7,9597859 euros
25/08/2000 7,9597602 euros
24/08/2000 7,9332412 euros
23/08/2000 7,9819888 euros
22/08/2000 7,9757377 euros
21/08/2000 7,9419395 euros