
Fondo: CAIXABANK MIXTO DIVIDENDOS, FI CLASE PLUS
Fecha |
Valor liquidativo |
---|---|
09/12/2021 | 9,3127658 euros |
08/12/2021 | 9,32425165 euros |
07/12/2021 | 9,31650476 euros |
06/12/2021 | 9,26905399 euros |
05/12/2021 | 9,24592438 euros |
04/12/2021 | 9,24612799 euros |
03/12/2021 | 9,24633152 euros |
02/12/2021 | 9,23612835 euros |
01/12/2021 | 9,24655664 euros |
30/11/2021 | 9,22120966 euros |
29/11/2021 | 9,24083554 euros |
28/11/2021 | 9,24128833 euros |
27/11/2021 | 9,24149242 euros |
26/11/2021 | 9,24169643 euros |
25/11/2021 | 9,31207848 euros |
24/11/2021 | 9,30855127 euros |
23/11/2021 | 9,31406477 euros |
22/11/2021 | 9,33632112 euros |
21/11/2021 | 9,34060955 euros |
20/11/2021 | 9,34081678 euros |
19/11/2021 | 9,34102397 euros |
18/11/2021 | 9,34598969 euros |
17/11/2021 | 9,35462437 euros |
16/11/2021 | 9,36856313 euros |
15/11/2021 | 9,37449874 euros |
14/11/2021 | 9,37074006 euros |
13/11/2021 | 9,37094674 euros |
12/11/2021 | 9,3711534 euros |
11/11/2021 | 9,36716456 euros |
10/11/2021 | 9,36714476 euros |
09/11/2021 | 9,37034786 euros |
08/11/2021 | 9,36998567 euros |
07/11/2021 | 9,36380504 euros |
06/11/2021 | 9,36401005 euros |
05/11/2021 | 9,36421525 euros |
04/11/2021 | 9,34650575 euros |
03/11/2021 | 9,333415 euros |
02/11/2021 | 9,3248954 euros |
01/11/2021 | 9,31677368 euros |
31/10/2021 | 9,31628215 euros |
30/10/2021 | 9,31648652 euros |
29/10/2021 | 9,31669083 euros |
28/10/2021 | 9,32750931 euros |
27/10/2021 | 9,33320233 euros |
26/10/2021 | 9,33658871 euros |
25/10/2021 | 9,31772588 euros |
24/10/2021 | 9,31463249 euros |
23/10/2021 | 9,31483812 euros |
22/10/2021 | 9,31504383 euros |
21/10/2021 | 9,31290131 euros |