Fondos liquidativos

Fondo: CAIXABANK BOLSA SELECCION JAPON, FI CLASE ESTANDAR

Fecha

Valor liquidativo

29/05/1999 7,2008298 euros
28/05/1999 7,1317444 euros
27/05/1999 7,1662741 euros
26/05/1999 7,1103531 euros
25/05/1999 7,0904234 euros
24/05/1999 7,1583914 euros
23/05/1999 7,0952621 euros
22/05/1999 7,0957171 euros
21/05/1999 7,052309 euros
20/05/1999 6,9988099 euros
19/05/1999 6,9970111 euros
18/05/1999 7,0958648 euros
17/05/1999 7,136596 euros
16/05/1999 7,2816438 euros
15/05/1999 7,282115 euros
14/05/1999 7,3628246 euros
13/05/1999 7,3982052 euros
12/05/1999 7,3784065 euros
11/05/1999 7,3028136 euros
10/05/1999 7,3827371 euros
09/05/1999 7,3880514 euros
08/05/1999 7,3884614 euros
07/05/1999 7,3676261 euros
06/05/1999 7,6030276 euros
05/05/1999 7,4215619 euros
04/05/1999 7,474247 euros
03/05/1999 7,4740413 euros
02/05/1999 7,4733019 euros
01/05/1999 7,4737724 euros
30/04/1999 7,5130757 euros
29/04/1999 7,5695632 euros
28/04/1999 7,5555849 euros
27/04/1999 7,6269464 euros
26/04/1999 7,5682875 euros
25/04/1999 7,5668905 euros
24/04/1999 7,5673628 euros
23/04/1999 7,583617 euros
22/04/1999 7,5126764 euros
21/04/1999 7,4670845 euros
20/04/1999 7,5442642 euros
19/04/1999 7,5089264 euros
18/04/1999 7,5919984 euros
17/04/1999 7,5924608 euros
16/04/1999 7,4981475 euros
15/04/1999 7,4305195 euros
14/04/1999 7,388107 euros
13/04/1999 7,3259708 euros
12/04/1999 7,2197445 euros
11/04/1999 7,3808967 euros
10/04/1999 7,3813792 euros