Fondos liquidativos

Fondo: CAIXABANK BOLSA DIVIDENDO EUROPA, FI CLASE PLUS

Fecha

Valor liquidativo

23/08/2018 10,03204747 euros
22/08/2018 10,06868107 euros
21/08/2018 10,05517222 euros
20/08/2018 10,01266676 euros
19/08/2018 9,9765021 euros
18/08/2018 9,97694934 euros
17/08/2018 9,97739663 euros
16/08/2018 10,00155611 euros
15/08/2018 9,95112116 euros
14/08/2018 10,06990995 euros
13/08/2018 10,09499739 euros
12/08/2018 10,12074256 euros
11/08/2018 10,12119656 euros
10/08/2018 10,12165056 euros
09/08/2018 10,21600023 euros
08/08/2018 10,20444302 euros
07/08/2018 10,22557633 euros
06/08/2018 10,15142185 euros
05/08/2018 10,16938216 euros
04/08/2018 10,16983892 euros
03/08/2018 10,17029566 euros
02/08/2018 10,09902711 euros
01/08/2018 10,19994821 euros
31/07/2018 10,28179534 euros
30/07/2018 10,21390255 euros
29/07/2018 10,21216542 euros
28/07/2018 10,21261931 euros
27/07/2018 10,21307321 euros
26/07/2018 10,11997115 euros
25/07/2018 10,00196753 euros
24/07/2018 10,05565262 euros
23/07/2018 9,97269825 euros
22/07/2018 9,96375137 euros
21/07/2018 9,96419661 euros
20/07/2018 9,96464182 euros
19/07/2018 10,00230564 euros
18/07/2018 10,03955643 euros
17/07/2018 10,00831003 euros
16/07/2018 9,98966685 euros
15/07/2018 10,05196679 euros
14/07/2018 10,05241888 euros
13/07/2018 10,052871 euros
12/07/2018 10,05294892 euros
11/07/2018 10,01004969 euros
10/07/2018 10,13384507 euros
09/07/2018 10,13731637 euros
08/07/2018 10,10139081 euros
07/07/2018 10,10184687 euros
06/07/2018 10,10230293 euros
05/07/2018 10,09896062 euros