Fondos liquidativos

Fondo: CAIXABANK BOLSA DIVIDENDO EUROPA, FI CLASE PLUS

Fecha

Valor liquidativo

12/10/2018 9,69889342 euros
11/10/2018 9,76023314 euros
10/10/2018 9,96079954 euros
09/10/2018 9,99729123 euros
08/10/2018 9,96332528 euros
07/10/2018 10,06268042 euros
06/10/2018 10,06313426 euros
05/10/2018 10,06358781 euros
04/10/2018 10,13205994 euros
03/10/2018 10,13235014 euros
02/10/2018 10,06299258 euros
01/10/2018 10,09007018 euros
30/09/2018 10,09967623 euros
29/09/2018 10,10012795 euros
28/09/2018 10,10057977 euros
27/09/2018 10,22390541 euros
26/09/2018 10,16259657 euros
25/09/2018 10,12721623 euros
24/09/2018 10,07181602 euros
23/09/2018 10,11474281 euros
22/09/2018 10,11519569 euros
21/09/2018 10,11564844 euros
20/09/2018 10,0651496 euros
19/09/2018 10,0036369 euros
18/09/2018 9,97564842 euros
17/09/2018 9,93400398 euros
16/09/2018 9,88765522 euros
15/09/2018 9,8880991 euros
14/09/2018 9,88854259 euros
13/09/2018 9,86784555 euros
12/09/2018 9,8739777 euros
11/09/2018 9,86598124 euros
10/09/2018 9,88640365 euros
09/09/2018 9,816981 euros
08/09/2018 9,81742158 euros
07/09/2018 9,81786199 euros
06/09/2018 9,81727127 euros
05/09/2018 9,84913889 euros
04/09/2018 9,91584572 euros
03/09/2018 10,00084542 euros
02/09/2018 9,9589753 euros
01/09/2018 9,95942272 euros
31/08/2018 9,95986965 euros
30/08/2018 10,05513881 euros
29/08/2018 10,08976553 euros
28/08/2018 10,06350579 euros
27/08/2018 10,07360843 euros
26/08/2018 10,03994309 euros
25/08/2018 10,04039455 euros
24/08/2018 10,04084603 euros