Fondos liquidativos

Fondo: CAIXABANK BOLSA DIVIDENDO EUROPA, FI CLASE PLUS

Fecha

Valor liquidativo

10/09/2024 14,30593604 euros
09/09/2024 14,35724993 euros
08/09/2024 14,24451528 euros
07/09/2024 14,24505617 euros
06/09/2024 14,24559753 euros
05/09/2024 14,35430564 euros
04/09/2024 14,33532654 euros
03/09/2024 14,36105325 euros
02/09/2024 14,46435076 euros
01/09/2024 14,42617435 euros
31/08/2024 14,42672082 euros
30/08/2024 14,42726714 euros
29/08/2024 14,39304707 euros
28/08/2024 14,34512516 euros
27/08/2024 14,28445645 euros
26/08/2024 14,23043991 euros
25/08/2024 14,19208904 euros
24/08/2024 14,19262807 euros
23/08/2024 14,19316737 euros
22/08/2024 14,09679976 euros
21/08/2024 14,05095069 euros
20/08/2024 14,01298505 euros
19/08/2024 14,0431121 euros
18/08/2024 13,95842411 euros
17/08/2024 13,95895442 euros
16/08/2024 13,95948475 euros
15/08/2024 13,80530191 euros
14/08/2024 13,79508311 euros
13/08/2024 13,74534174 euros
12/08/2024 13,69777627 euros
11/08/2024 13,68686732 euros
10/08/2024 13,68738486 euros
09/08/2024 13,68790245 euros
08/08/2024 13,6289105 euros
07/08/2024 13,64399687 euros
06/08/2024 13,42514262 euros
05/08/2024 13,44435396 euros
04/08/2024 13,8269385 euros
03/08/2024 13,82745613 euros
02/08/2024 13,82797564 euros
01/08/2024 14,0281564 euros
31/07/2024 14,18245042 euros
30/07/2024 14,11949856 euros
29/07/2024 14,06559471 euros
28/07/2024 14,06856873 euros
27/07/2024 14,0690862 euros
26/07/2024 14,06960405 euros
25/07/2024 13,94211295 euros
24/07/2024 13,89185143 euros
23/07/2024 13,87369885 euros