Fondos liquidativos

Fons: CAIXABANK BOLSA DIVIDENDO EUROPA, FI CLASE ESTANDAR

Data

Valor liquidatiu

18/06/2026 11,15299641 euros
17/06/2026 11,26955152 euros
16/06/2026 11,25374909 euros
15/06/2026 11,22349091 euros
14/06/2026 11,27036322 euros
13/06/2026 11,27096838 euros
12/06/2026 11,27157322 euros
11/06/2026 11,1841646 euros
10/06/2026 11,133813 euros
09/06/2026 11,02528025 euros
08/06/2026 11,02791098 euros
07/06/2026 11,06551996 euros
06/06/2026 11,06611395 euros
05/06/2026 11,06670826 euros
04/06/2026 11,01350592 euros
03/06/2026 10,98855541 euros
02/06/2026 11,03134939 euros
01/06/2026 11,06453069 euros
31/05/2026 11,1610348 euros
30/05/2026 11,16167094 euros
29/05/2026 11,16230558 euros
28/05/2026 11,20832299 euros
27/05/2026 11,3180655 euros
26/05/2026 11,38279788 euros
25/05/2026 11,42377423 euros
24/05/2026 11,38312939 euros
23/05/2026 11,38373906 euros
22/05/2026 11,38434853 euros
21/05/2026 11,39589749 euros
20/05/2026 11,36079993 euros
19/05/2026 11,30996219 euros
18/05/2026 11,28151073 euros
17/05/2026 11,12838792 euros
16/05/2026 11,12897646 euros
15/05/2026 11,12956423 euros
14/05/2026 11,2776318 euros
13/05/2026 11,20262391 euros
12/05/2026 11,14149395 euros
11/05/2026 11,16560805 euros
10/05/2026 11,08872776 euros
09/05/2026 11,08931713 euros
08/05/2026 11,0899059 euros
07/05/2026 11,14491789 euros
06/05/2026 11,28508271 euros
05/05/2026 11,14303084 euros
04/05/2026 11,10767483 euros
03/05/2026 11,22708158 euros
02/05/2026 11,22769158 euros
01/05/2026 11,22830165 euros
30/04/2026 11,22891157 euros