Fondos liquidativos

Fondo: CAIXABANK BOLSA DIVIDENDO EUROPA, FI CLASE PLUS

Fecha

Valor liquidativo

26/03/2018 9,58479721 euros
25/03/2018 9,64476389 euros
24/03/2018 9,64519821 euros
23/03/2018 9,64563198 euros
22/03/2018 9,70298599 euros
21/03/2018 9,85409106 euros
20/03/2018 9,8555827 euros
19/03/2018 9,81771999 euros
18/03/2018 9,91630902 euros
17/03/2018 9,91675633 euros
16/03/2018 9,9172036 euros
15/03/2018 9,86211671 euros
14/03/2018 9,80161705 euros
13/03/2018 9,83164542 euros
12/03/2018 9,89728947 euros
11/03/2018 9,85673128 euros
10/03/2018 9,8571784 euros
09/03/2018 9,85762552 euros
08/03/2018 9,84237058 euros
07/03/2018 9,76337539 euros
06/03/2018 9,72904853 euros
05/03/2018 9,69636577 euros
04/03/2018 9,671543 euros
03/03/2018 9,67198093 euros
02/03/2018 9,67241849 euros
01/03/2018 9,9017859 euros
28/02/2018 9,98852377 euros
27/02/2018 10,04217542 euros
26/02/2018 10,03486862 euros
25/02/2018 9,9925797 euros
24/02/2018 9,99303189 euros
23/02/2018 9,99348409 euros
22/02/2018 9,93939932 euros
21/02/2018 9,94078991 euros
20/02/2018 9,93737373 euros
19/02/2018 9,89594918 euros
18/02/2018 9,91970371 euros
17/02/2018 9,920153 euros
16/02/2018 9,92060212 euros
15/02/2018 9,82911224 euros
14/02/2018 9,79300504 euros
13/02/2018 9,721843 euros
12/02/2018 9,79457057 euros
11/02/2018 9,68130506 euros
10/02/2018 9,68174376 euros
09/02/2018 9,68218248 euros
08/02/2018 9,82929747 euros
07/02/2018 9,95794914 euros
06/02/2018 9,75907661 euros
05/02/2018 10,02701058 euros