Fondos liquidativos

Fondo: CAIXABANK MIXTO DIVIDENDOS, FI CLASE ESTANDAR

Fecha

Valor liquidativo

06/04/2022 8,37705565 euros
05/04/2022 8,40902408 euros
04/04/2022 8,4192462 euros
03/04/2022 8,40272681 euros
02/04/2022 8,40297149 euros
01/04/2022 8,40321614 euros
31/03/2022 8,4749851 euros
30/03/2022 8,46541165 euros
29/03/2022 8,45452048 euros
28/03/2022 8,41762932 euros
27/03/2022 8,40998136 euros
26/03/2022 8,41022747 euros
25/03/2022 8,41047359 euros
24/03/2022 8,41862692 euros
23/03/2022 8,42257488 euros
22/03/2022 8,42255459 euros
21/03/2022 8,42169119 euros
20/03/2022 8,42278261 euros
19/03/2022 8,42301799 euros
18/03/2022 8,42325339 euros
17/03/2022 8,39586938 euros
16/03/2022 8,35577905 euros
15/03/2022 8,29927943 euros
14/03/2022 8,32812625 euros
13/03/2022 8,35164976 euros
12/03/2022 8,35189121 euros
11/03/2022 8,3521327 euros
10/03/2022 8,34304314 euros
09/03/2022 8,3526988 euros
08/03/2022 8,32674691 euros
07/03/2022 8,35726873 euros
06/03/2022 8,41126677 euros
05/03/2022 8,41150613 euros
04/03/2022 8,41174526 euros
03/03/2022 8,45910831 euros
02/03/2022 8,47069252 euros
01/03/2022 8,49239824 euros
28/02/2022 8,50626401 euros
27/02/2022 8,51538809 euros
26/02/2022 8,51562908 euros
25/02/2022 8,51587003 euros
24/02/2022 8,45941757 euros
23/02/2022 8,56633785 euros
22/02/2022 8,57781969 euros
21/02/2022 8,59831694 euros
20/02/2022 8,61563015 euros
19/02/2022 8,61587504 euros
18/02/2022 8,61611991 euros
17/02/2022 8,61430929 euros
16/02/2022 8,61998582 euros