Fondos liquidativos

Fondo: CAIXABANK MIXTO DIVIDENDOS, FI CLASE ESTANDAR

Fecha

Valor liquidativo

19/04/2023 7,66555537 euros
18/04/2023 7,68470447 euros
17/04/2023 7,68396785 euros
16/04/2023 7,69171056 euros
15/04/2023 7,69192809 euros
14/04/2023 7,69214566 euros
13/04/2023 7,6789047 euros
12/04/2023 7,68327258 euros
11/04/2023 7,68142123 euros
10/04/2023 7,69052384 euros
09/04/2023 7,69226981 euros
08/04/2023 7,69248619 euros
07/04/2023 7,69270257 euros
06/04/2023 7,69186417 euros
05/04/2023 7,68406443 euros
04/04/2023 7,68019307 euros
03/04/2023 7,67114982 euros
02/04/2023 7,71436027 euros
01/04/2023 7,71457377 euros
31/03/2023 7,71478723 euros
30/03/2023 7,68956433 euros
29/03/2023 7,66789819 euros
28/03/2023 7,65009385 euros
27/03/2023 7,65999419 euros
26/03/2023 7,67305779 euros
25/03/2023 7,67327477 euros
24/03/2023 7,67349177 euros
23/03/2023 7,66845882 euros
22/03/2023 7,67036359 euros
21/03/2023 7,65050227 euros
20/03/2023 7,62718646 euros
19/03/2023 7,66908415 euros
18/03/2023 7,66930016 euros
17/03/2023 7,66951618 euros
16/03/2023 7,662821 euros
15/03/2023 7,6959739 euros
14/03/2023 7,67128845 euros
13/03/2023 7,70659702 euros
12/03/2023 7,69264983 euros
11/03/2023 7,69287247 euros
10/03/2023 7,69309501 euros
09/03/2023 7,69076646 euros
08/03/2023 7,70129698 euros
07/03/2023 7,71698355 euros
06/03/2023 7,71723663 euros
05/03/2023 7,7104147 euros
04/03/2023 7,71063499 euros
03/03/2023 7,71085528 euros
02/03/2023 7,67956234 euros
01/03/2023 7,69691988 euros