Fondo: CAIXABANK BOLSA DIVIDENDO EUROPA, FI CLASE PLUS
Fecha |
Valor liquidativo |
---|---|
18/02/2021 | 10,28132428 euros |
17/02/2021 | 10,37131735 euros |
16/02/2021 | 10,41549841 euros |
15/02/2021 | 10,42106209 euros |
14/02/2021 | 10,26026794 euros |
13/02/2021 | 10,26074263 euros |
12/02/2021 | 10,26121718 euros |
11/02/2021 | 10,22210127 euros |
10/02/2021 | 10,24460585 euros |
09/02/2021 | 10,18410196 euros |
08/02/2021 | 10,22257619 euros |
07/02/2021 | 10,18031515 euros |
06/02/2021 | 10,1807831 euros |
05/02/2021 | 10,18125119 euros |
04/02/2021 | 10,21184964 euros |
03/02/2021 | 10,19194848 euros |
02/02/2021 | 10,13132254 euros |
01/02/2021 | 10,04580879 euros |
31/01/2021 | 9,91449176 euros |
30/01/2021 | 9,91494895 euros |
29/01/2021 | 9,91540613 euros |
28/01/2021 | 10,12446041 euros |
27/01/2021 | 10,12993542 euros |
26/01/2021 | 10,27807502 euros |
25/01/2021 | 10,23129693 euros |
24/01/2021 | 10,30424962 euros |
23/01/2021 | 10,30472104 euros |
22/01/2021 | 10,30519232 euros |
21/01/2021 | 10,36069854 euros |
20/01/2021 | 10,39627814 euros |
19/01/2021 | 10,36468683 euros |
18/01/2021 | 10,37064787 euros |
17/01/2021 | 10,36722275 euros |
16/01/2021 | 10,36769832 euros |
15/01/2021 | 10,36817389 euros |
14/01/2021 | 10,46115795 euros |
13/01/2021 | 10,36965287 euros |
12/01/2021 | 10,3700688 euros |
11/01/2021 | 10,38865892 euros |
10/01/2021 | 10,48004446 euros |
09/01/2021 | 10,48052081 euros |
08/01/2021 | 10,48099718 euros |
07/01/2021 | 10,43425369 euros |
06/01/2021 | 10,32741801 euros |
05/01/2021 | 10,06736612 euros |
04/01/2021 | 10,10285682 euros |
03/01/2021 | 10,01358663 euros |
02/01/2021 | 10,01404633 euros |
01/01/2021 | 10,01450606 euros |
31/12/2020 | 10,0149658 euros |