Fondos liquidativos

Fondo: CAIXABANK BOLSA DIVIDENDO EUROPA, FI CLASE PLUS

Fecha

Valor liquidativo

30/10/2024 14,25954805 euros
29/10/2024 14,37410187 euros
28/10/2024 14,49678219 euros
27/10/2024 14,40810702 euros
26/10/2024 14,40868773 euros
25/10/2024 14,40926824 euros
24/10/2024 14,40570149 euros
23/10/2024 14,37914819 euros
22/10/2024 14,41208497 euros
21/10/2024 14,49292924 euros
20/10/2024 14,59382149 euros
19/10/2024 14,59438754 euros
18/10/2024 14,59495379 euros
17/10/2024 14,58937454 euros
16/10/2024 14,51790108 euros
15/10/2024 14,50545316 euros
14/10/2024 14,48168643 euros
13/10/2024 14,4227833 euros
12/10/2024 14,42332545 euros
11/10/2024 14,42386811 euros
10/10/2024 14,37035512 euros
09/10/2024 14,36225593 euros
08/10/2024 14,26009189 euros
07/10/2024 14,34623962 euros
06/10/2024 14,35128028 euros
05/10/2024 14,35181551 euros
04/10/2024 14,35235148 euros
03/10/2024 14,30801021 euros
02/10/2024 14,4898422 euros
01/10/2024 14,53211901 euros
30/09/2024 14,55449108 euros
29/09/2024 14,69506681 euros
28/09/2024 14,69563059 euros
27/09/2024 14,69619449 euros
26/09/2024 14,63473074 euros
25/09/2024 14,56192941 euros
24/09/2024 14,59302729 euros
23/09/2024 14,51216834 euros
22/09/2024 14,41803087 euros
21/09/2024 14,41857481 euros
20/09/2024 14,41911861 euros
19/09/2024 14,52246475 euros
18/09/2024 14,45935487 euros
17/09/2024 14,48945141 euros
16/09/2024 14,46562418 euros
15/09/2024 14,43637439 euros
14/09/2024 14,43692399 euros
13/09/2024 14,4374741 euros
12/09/2024 14,32327599 euros
11/09/2024 14,27581491 euros