
Fondo: CAIXABANK BOLSA INDICE ESPAÑA, FI CLASE ESTANDAR
Fecha |
Valor liquidativo |
---|---|
11/06/2001 | 6,7356996 euros |
10/06/2001 | 6,8066296 euros |
09/06/2001 | 6,8067692 euros |
08/06/2001 | 6,8069089 euros |
07/06/2001 | 6,8109902 euros |
06/06/2001 | 6,81978 euros |
05/06/2001 | 6,8911382 euros |
04/06/2001 | 6,7931678 euros |
03/06/2001 | 6,7729447 euros |
02/06/2001 | 6,7730824 euros |
01/06/2001 | 6,7732201 euros |
31/05/2001 | 6,7689546 euros |
30/05/2001 | 6,7511574 euros |
29/05/2001 | 6,8428814 euros |
28/05/2001 | 6,8779334 euros |
27/05/2001 | 6,8719026 euros |
26/05/2001 | 6,8720333 euros |
25/05/2001 | 6,872164 euros |
24/05/2001 | 6,9191169 euros |
23/05/2001 | 6,9289859 euros |
22/05/2001 | 6,9870923 euros |
21/05/2001 | 6,9563042 euros |
20/05/2001 | 6,8906456 euros |
19/05/2001 | 6,8907741 euros |
18/05/2001 | 6,8909027 euros |
17/05/2001 | 6,8430778 euros |
16/05/2001 | 6,7711985 euros |
15/05/2001 | 6,7579257 euros |
14/05/2001 | 6,6605547 euros |
13/05/2001 | 6,809737 euros |
12/05/2001 | 6,8098663 euros |
11/05/2001 | 6,8099956 euros |
10/05/2001 | 6,8416931 euros |
09/05/2001 | 6,7217611 euros |
08/05/2001 | 6,7325944 euros |
07/05/2001 | 6,7408335 euros |
06/05/2001 | 6,7025154 euros |
05/05/2001 | 6,700775 euros |
04/05/2001 | 6,70091 euros |
03/05/2001 | 6,6218638 euros |
02/05/2001 | 6,7665205 euros |
01/05/2001 | 6,8118305 euros |
30/04/2001 | 6,8271686 euros |
29/04/2001 | 6,7635607 euros |
28/04/2001 | 6,7637171 euros |
27/04/2001 | 6,7638735 euros |
26/04/2001 | 6,6943393 euros |
25/04/2001 | 6,6600776 euros |
24/04/2001 | 6,6742275 euros |
23/04/2001 | 6,6432138 euros |