
Fondo: CAIXABANK BOLSA SELECCION JAPON, FI CLASE ESTANDAR
Fecha |
Valor liquidativo |
---|---|
22/07/2002 | 5,21011973 euros |
21/07/2002 | 5,20233854 euros |
20/07/2002 | 5,20262501 euros |
19/07/2002 | 5,2029085 euros |
18/07/2002 | 5,34458481 euros |
17/07/2002 | 5,2639966 euros |
16/07/2002 | 5,25077003 euros |
15/07/2002 | 5,36222374 euros |
14/07/2002 | 5,49765156 euros |
13/07/2002 | 5,49795632 euros |
12/07/2002 | 5,49826007 euros |
11/07/2002 | 5,45179043 euros |
10/07/2002 | 5,52082406 euros |
09/07/2002 | 5,59609445 euros |
08/07/2002 | 5,52937099 euros |
07/07/2002 | 5,55057378 euros |
06/07/2002 | 5,55088005 euros |
05/07/2002 | 5,55118635 euros |
04/07/2002 | 5,43316619 euros |
03/07/2002 | 5,52006966 euros |
02/07/2002 | 5,39327278 euros |
01/07/2002 | 5,36943207 euros |
30/06/2002 | 5,40892996 euros |
29/06/2002 | 5,40923159 euros |
28/06/2002 | 5,40939521 euros |
27/06/2002 | 5,23890369 euros |
26/06/2002 | 5,13028597 euros |
25/06/2002 | 5,34525409 euros |
24/06/2002 | 5,31352044 euros |
23/06/2002 | 5,28630244 euros |
22/06/2002 | 5,28659544 euros |
21/06/2002 | 5,28688959 euros |
20/06/2002 | 5,38016488 euros |
19/06/2002 | 5,33841456 euros |
18/06/2002 | 5,52334565 euros |
17/06/2002 | 5,48508905 euros |
16/06/2002 | 5,57552429 euros |
15/06/2002 | 5,57583103 euros |
14/06/2002 | 5,57614015 euros |
13/06/2002 | 5,66285135 euros |
12/06/2002 | 5,72303291 euros |
11/06/2002 | 5,80819591 euros |
10/06/2002 | 5,78100898 euros |
09/06/2002 | 5,83488321 euros |
08/06/2002 | 5,83520651 euros |
07/06/2002 | 5,83553341 euros |
06/06/2002 | 5,92128365 euros |
05/06/2002 | 5,99029819 euros |
04/06/2002 | 5,99480923 euros |
03/06/2002 | 6,16470431 euros |