Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE ESPAÑA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

09/10/2003 4,16162961 euros
08/10/2003 4,10815982 euros
07/10/2003 4,11390792 euros
06/10/2003 4,1489437 euros
05/10/2003 4,16016931 euros
04/10/2003 4,16028451 euros
03/10/2003 4,16039972 euros
02/10/2003 4,09550903 euros
01/10/2003 4,08080025 euros
30/09/2003 4,03240534 euros
29/09/2003 4,095811 euros
28/09/2003 4,1114557 euros
27/09/2003 4,1116196 euros
26/09/2003 4,11178337 euros
25/09/2003 4,13839588 euros
24/09/2003 4,15240923 euros
23/09/2003 4,15751843 euros
22/09/2003 4,16901875 euros
21/09/2003 4,23402895 euros
20/09/2003 4,23416789 euros
19/09/2003 4,23430682 euros
18/09/2003 4,27163446 euros
17/09/2003 4,25174517 euros
16/09/2003 4,24178927 euros
15/09/2003 4,2072764 euros
14/09/2003 4,19950698 euros
13/09/2003 4,199671 euros
12/09/2003 4,19983515 euros
11/09/2003 4,21631482 euros
10/09/2003 4,21912492 euros
09/09/2003 4,24604665 euros
08/09/2003 4,28917006 euros
07/09/2003 4,26880236 euros
06/09/2003 4,26896969 euros
05/09/2003 4,26913716 euros
04/09/2003 4,28935289 euros
03/09/2003 4,2875622 euros
02/09/2003 4,22493914 euros
01/09/2003 4,21849392 euros
31/08/2003 4,17881345 euros
30/08/2003 4,17897821 euros
29/08/2003 4,17914297 euros
28/08/2003 4,22217281 euros
27/08/2003 4,20735792 euros
26/08/2003 4,18164949 euros
25/08/2003 4,20899443 euros
24/08/2003 4,22727131 euros
23/08/2003 4,22743619 euros
22/08/2003 4,2276012 euros
21/08/2003 4,21759145 euros