Fondos liquidativos

Fons: CAIXABANK MIXTO DIVIDENDOS, FI CLASE ESTANDAR

Data

Valor liquidatiu

02/02/2022 8,75660072 euros
01/02/2022 8,73476355 euros
31/01/2022 8,70985783 euros
30/01/2022 8,68363007 euros
29/01/2022 8,68387756 euros
28/01/2022 8,68412501 euros
27/01/2022 8,724985 euros
26/01/2022 8,7271512 euros
25/01/2022 8,69719093 euros
24/01/2022 8,70411727 euros
23/01/2022 8,76325085 euros
22/01/2022 8,76349832 euros
21/01/2022 8,76374575 euros
20/01/2022 8,79297817 euros
19/01/2022 8,78942657 euros
18/01/2022 8,78754447 euros
17/01/2022 8,82131281 euros
16/01/2022 8,82466559 euros
15/01/2022 8,82491345 euros
14/01/2022 8,82516141 euros
13/01/2022 8,85051904 euros
12/01/2022 8,85232443 euros
11/01/2022 8,82874424 euros
10/01/2022 8,81654004 euros
09/01/2022 8,84118079 euros
08/01/2022 8,84142937 euros
07/01/2022 8,84167807 euros
06/01/2022 8,8404818 euros
05/01/2022 8,8835467 euros
04/01/2022 8,89082039 euros
03/01/2022 8,87475261 euros
02/01/2022 8,93992962 euros
01/01/2022 8,94017857 euros
31/12/2021 8,94042757 euros
30/12/2021 8,94116371 euros
29/12/2021 8,93572742 euros
28/12/2021 8,94079635 euros
27/12/2021 8,92235894 euros
26/12/2021 8,90721343 euros
25/12/2021 8,90746438 euros
24/12/2021 8,90771534 euros
23/12/2021 8,90847264 euros
22/12/2021 8,87917168 euros
21/12/2021 8,86434725 euros
20/12/2021 8,83849699 euros
19/12/2021 8,880518 euros
18/12/2021 8,88076353 euros
17/12/2021 8,88100903 euros
16/12/2021 8,88974174 euros
15/12/2021 8,86266096 euros