Fondos liquidativos

Fondo: CAIXABANK BOLSA DIVIDENDO EUROPA, FI CLASE PLUS

Fecha

Valor liquidativo

08/05/2024 13,635421 euros
07/05/2024 13,58919756 euros
06/05/2024 13,44058068 euros
05/05/2024 13,35174694 euros
04/05/2024 13,35226738 euros
03/05/2024 13,35278756 euros
02/05/2024 13,34072143 euros
01/05/2024 13,33915069 euros
30/04/2024 13,33967117 euros
29/04/2024 13,43983956 euros
28/04/2024 13,34423691 euros
27/04/2024 13,34475748 euros
26/04/2024 13,34527805 euros
25/04/2024 13,2174351 euros
24/04/2024 13,17688569 euros
23/04/2024 13,2126707 euros
22/04/2024 13,15155285 euros
21/04/2024 13,07162906 euros
20/04/2024 13,07213219 euros
19/04/2024 13,07263556 euros
18/04/2024 13,03518825 euros
17/04/2024 12,96954627 euros
16/04/2024 12,89868012 euros
15/04/2024 13,12073663 euros
14/04/2024 13,11427238 euros
13/04/2024 13,11476233 euros
12/04/2024 13,11525222 euros
11/04/2024 12,98754555 euros
10/04/2024 13,03776339 euros
09/04/2024 13,05894558 euros
08/04/2024 13,07082006 euros
07/04/2024 12,99284498 euros
06/04/2024 12,99334217 euros
05/04/2024 12,99383974 euros
04/04/2024 13,13954527 euros
03/04/2024 13,08174079 euros
02/04/2024 13,08804946 euros
01/04/2024 13,12966273 euros
31/03/2024 13,13016469 euros
30/03/2024 13,13067651 euros
29/03/2024 13,13118835 euros
28/03/2024 13,13169975 euros
27/03/2024 13,06534362 euros
26/03/2024 13,01052238 euros
25/03/2024 13,04037317 euros
24/03/2024 13,02243517 euros
23/03/2024 13,02293257 euros
22/03/2024 13,02343094 euros
21/03/2024 12,99150302 euros
20/03/2024 12,93500034 euros