Fondos liquidativos

Fondo: CAIXABANK BOLSA DIVIDENDO EUROPA, FI CLASE PLUS

Fecha

Valor liquidativo

23/12/2019 11,3415061 euros
22/12/2019 11,37501932 euros
21/12/2019 11,3755248 euros
20/12/2019 11,37603002 euros
19/12/2019 11,28655726 euros
18/12/2019 11,305002 euros
17/12/2019 11,33486646 euros
16/12/2019 11,39343261 euros
15/12/2019 11,28592895 euros
14/12/2019 11,28642573 euros
13/12/2019 11,28692258 euros
12/12/2019 11,04288802 euros
11/12/2019 11,01064914 euros
10/12/2019 10,9901048 euros
09/12/2019 10,99839711 euros
08/12/2019 11,02949996 euros
07/12/2019 11,02999132 euros
06/12/2019 11,03048271 euros
05/12/2019 10,91857082 euros
04/12/2019 10,93152072 euros
03/12/2019 10,80307308 euros
02/12/2019 10,88067325 euros
01/12/2019 11,05818253 euros
30/11/2019 11,05867866 euros
29/11/2019 11,0591739 euros
28/11/2019 11,12726636 euros
27/11/2019 11,12952682 euros
26/11/2019 11,09389709 euros
25/11/2019 11,13849796 euros
24/11/2019 11,05104424 euros
23/11/2019 11,0515376 euros
22/11/2019 11,0520308 euros
21/11/2019 10,99412663 euros
20/11/2019 11,00911113 euros
19/11/2019 11,04950681 euros
18/11/2019 11,08747462 euros
17/11/2019 11,09026548 euros
16/11/2019 11,09076092 euros
15/11/2019 11,09125694 euros
14/11/2019 11,04509653 euros
13/11/2019 11,10153579 euros
12/11/2019 11,1566649 euros
11/11/2019 11,11093997 euros
10/11/2019 11,08656717 euros
09/11/2019 11,08706302 euros
08/11/2019 11,08755877 euros
07/11/2019 11,11376162 euros
06/11/2019 11,05042705 euros
05/11/2019 11,06986367 euros
04/11/2019 11,039194 euros