Fondos liquidativos

Fondo: CAIXABANK BOLSA DIVIDENDO EUROPA, FI CLASE PLUS

Fecha

Valor liquidativo

06/09/2021 11,3275508 euros
05/09/2021 11,30144461 euros
04/09/2021 11,30195583 euros
03/09/2021 11,30246708 euros
02/09/2021 11,32994731 euros
01/09/2021 11,33904932 euros
31/08/2021 11,3218145 euros
30/08/2021 11,33961632 euros
29/08/2021 11,35830767 euros
28/08/2021 11,35882159 euros
27/08/2021 11,35933552 euros
26/08/2021 11,34221413 euros
25/08/2021 11,38303989 euros
24/08/2021 11,42535526 euros
23/08/2021 11,43970494 euros
22/08/2021 11,44019084 euros
21/08/2021 11,44070852 euros
20/08/2021 11,44122623 euros
19/08/2021 11,40048089 euros
18/08/2021 11,49831983 euros
17/08/2021 11,47373755 euros
16/08/2021 11,46998907 euros
15/08/2021 11,4846679 euros
14/08/2021 11,48518745 euros
13/08/2021 11,48570719 euros
12/08/2021 11,44725453 euros
11/08/2021 11,40233136 euros
10/08/2021 11,33035282 euros
09/08/2021 11,29777543 euros
08/08/2021 11,25072342 euros
07/08/2021 11,25123274 euros
06/08/2021 11,24556203 euros
05/08/2021 11,18852115 euros
04/08/2021 11,1619072 euros
03/08/2021 11,14183618 euros
02/08/2021 11,09627943 euros
01/08/2021 11,10324782 euros
31/07/2021 11,10375059 euros
30/07/2021 11,10425327 euros
29/07/2021 11,16601601 euros
28/07/2021 11,09773499 euros
27/07/2021 11,05701615 euros
26/07/2021 11,09554987 euros
25/07/2021 11,09559872 euros
24/07/2021 11,09610109 euros
23/07/2021 11,09660347 euros
22/07/2021 10,9961265 euros
21/07/2021 10,94579361 euros
20/07/2021 10,79746234 euros
19/07/2021 10,7650447 euros