Fondos liquidativos

Fondo: CAIXABANK BOLSA DIVIDENDO EUROPA, FI CLASE PLUS

Fecha

Valor liquidativo

22/07/2024 13,91007465 euros
21/07/2024 13,81136976 euros
20/07/2024 13,8118659 euros
19/07/2024 13,81236188 euros
18/07/2024 13,94199121 euros
17/07/2024 13,91693035 euros
16/07/2024 13,82523409 euros
15/07/2024 13,87262608 euros
14/07/2024 13,97938005 euros
13/07/2024 13,97987996 euros
12/07/2024 13,98038008 euros
11/07/2024 13,89856511 euros
10/07/2024 13,80188828 euros
09/07/2024 13,68241938 euros
08/07/2024 13,76026054 euros
07/07/2024 13,73982296 euros
06/07/2024 13,74031856 euros
05/07/2024 13,74081446 euros
04/07/2024 13,75663323 euros
03/07/2024 13,68227432 euros
02/07/2024 13,59028068 euros
01/07/2024 13,68037875 euros
30/06/2024 13,61259287 euros
29/06/2024 13,61310851 euros
28/06/2024 13,61362434 euros
27/06/2024 13,63460598 euros
26/06/2024 13,71650103 euros
25/06/2024 13,80056674 euros
24/06/2024 13,83162058 euros
23/06/2024 13,72402622 euros
22/06/2024 13,72454179 euros
21/06/2024 13,72505756 euros
20/06/2024 13,82613651 euros
19/06/2024 13,74089078 euros
18/06/2024 13,69891678 euros
17/06/2024 13,56195389 euros
16/06/2024 13,58432792 euros
15/06/2024 13,58484316 euros
14/06/2024 13,58535838 euros
13/06/2024 13,66091311 euros
12/06/2024 13,74416094 euros
11/06/2024 13,65634988 euros
10/06/2024 13,77848977 euros
09/06/2024 13,80539612 euros
08/06/2024 13,80591786 euros
07/06/2024 13,80644009 euros
06/06/2024 13,83914522 euros
05/06/2024 13,76022111 euros
04/06/2024 13,71545588 euros
03/06/2024 13,77313306 euros