Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE ESPAÑA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

17/03/2001 6,3571496 euros
16/03/2001 6,3572766 euros
15/03/2001 6,5057651 euros
14/03/2001 6,3790406 euros
13/03/2001 6,4434495 euros
12/03/2001 6,4887753 euros
11/03/2001 6,6471014 euros
10/03/2001 6,6472406 euros
09/03/2001 6,6473798 euros
08/03/2001 6,7362042 euros
07/03/2001 6,7677365 euros
06/03/2001 6,7918217 euros
05/03/2001 6,6864869 euros
04/03/2001 6,5909532 euros
03/03/2001 6,5910866 euros
02/03/2001 6,59122 euros
01/03/2001 6,5752239 euros
28/02/2001 6,619581 euros
27/02/2001 6,6585605 euros
26/02/2001 6,6525738 euros
25/02/2001 6,6166478 euros
24/02/2001 6,6167819 euros
23/02/2001 6,616916 euros
22/02/2001 6,7322374 euros
21/02/2001 6,7369487 euros
20/02/2001 6,8119039 euros
19/02/2001 6,9021497 euros
18/02/2001 6,9280216 euros
17/02/2001 6,9281591 euros
16/02/2001 6,9282965 euros
15/02/2001 7,0769184 euros
14/02/2001 7,0010816 euros
13/02/2001 7,0743576 euros
12/02/2001 7,0845894 euros
11/02/2001 7,0261787 euros
10/02/2001 7,0263173 euros
09/02/2001 7,026456 euros
08/02/2001 7,1267932 euros
07/02/2001 7,120048 euros
06/02/2001 7,2321575 euros
05/02/2001 7,1819418 euros
04/02/2001 7,1762464 euros
03/02/2001 7,1763752 euros
02/02/2001 7,176504 euros
01/02/2001 7,2005984 euros
31/01/2001 7,3073893 euros
30/01/2001 7,2968304 euros
29/01/2001 7,3169258 euros
28/01/2001 7,3038859 euros
27/01/2001 7,3040157 euros