Fondos liquidativos

Fondo: CAIXABANK BOLSA DIVIDENDO EUROPA, FI CLASE PLUS

Fecha

Valor liquidativo

08/08/2019 9,90011989 euros
07/08/2019 9,7605704 euros
06/08/2019 9,76722395 euros
05/08/2019 9,82467964 euros
04/08/2019 10,01206832 euros
03/08/2019 10,01252004 euros
02/08/2019 10,01297178 euros
01/08/2019 10,23817986 euros
31/07/2019 10,21759094 euros
30/07/2019 10,20597024 euros
29/07/2019 10,37113321 euros
28/07/2019 10,37040659 euros
27/07/2019 10,37087455 euros
26/07/2019 10,37134243 euros
25/07/2019 10,37953055 euros
24/07/2019 10,4546901 euros
23/07/2019 10,43099624 euros
22/07/2019 10,3095131 euros
21/07/2019 10,30097999 euros
20/07/2019 10,30144563 euros
19/07/2019 10,3019113 euros
18/07/2019 10,31091673 euros
17/07/2019 10,34793471 euros
16/07/2019 10,4017462 euros
15/07/2019 10,39985254 euros
14/07/2019 10,38905571 euros
13/07/2019 10,38952302 euros
12/07/2019 10,38999035 euros
11/07/2019 10,37998364 euros
10/07/2019 10,39048278 euros
09/07/2019 10,43008955 euros
08/07/2019 10,47190889 euros
07/07/2019 10,48930581 euros
06/07/2019 10,48977778 euros
05/07/2019 10,49024977 euros
04/07/2019 10,5443014 euros
03/07/2019 10,52049296 euros
02/07/2019 10,45964007 euros
01/07/2019 10,42017584 euros
30/06/2019 10,35163233 euros
29/06/2019 10,35209761 euros
28/06/2019 10,35256256 euros
27/06/2019 10,290315 euros
26/06/2019 10,31286518 euros
25/06/2019 10,31387764 euros
24/06/2019 10,33300732 euros
23/06/2019 10,37863371 euros
22/06/2019 10,37910027 euros
21/06/2019 10,37956645 euros
20/06/2019 10,37534099 euros