Fondos liquidativos

Fons: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE ESTANDAR

Data

Valor liquidatiu

13/06/2002 18,642581 euros
12/06/2002 18,886193 euros
11/06/2002 19,315336 euros
10/06/2002 19,181697 euros
09/06/2002 19,125855 euros
08/06/2002 19,126315 euros
07/06/2002 19,126774 euros
06/06/2002 19,388595 euros
05/06/2002 19,491127 euros
04/06/2002 19,640235 euros
03/06/2002 20,241715 euros
02/06/2002 20,36934 euros
01/06/2002 20,369829 euros
31/05/2002 20,370318 euros
30/05/2002 20,131919 euros
29/05/2002 20,400586 euros
28/05/2002 20,329734 euros
27/05/2002 20,487154 euros
26/05/2002 20,389346 euros
25/05/2002 20,389868 euros
24/05/2002 20,39039 euros
23/05/2002 20,250683 euros
22/05/2002 20,155945 euros
21/05/2002 20,392736 euros
20/05/2002 20,539402 euros
19/05/2002 20,769869 euros
18/05/2002 20,770411 euros
17/05/2002 20,770954 euros
16/05/2002 20,743204 euros
15/05/2002 20,924834 euros
14/05/2002 20,778128 euros
13/05/2002 20,48673 euros
12/05/2002 20,200541 euros
11/05/2002 20,201034 euros
10/05/2002 20,201528 euros
09/05/2002 20,600967 euros
08/05/2002 20,750164 euros
07/05/2002 20,276584 euros
06/05/2002 20,370148 euros
05/05/2002 20,543424 euros
04/05/2002 20,543977 euros
03/05/2002 20,54453 euros
02/05/2002 20,618339 euros
01/05/2002 20,911769 euros
30/04/2002 20,912334 euros
29/04/2002 20,892335 euros
28/04/2002 20,970937 euros
27/04/2002 20,971425 euros
26/04/2002 20,971913 euros
25/04/2002 20,944302 euros