Fondos liquidativos

Fondo: CAIXABANK MIXTO DIVIDENDOS, FI CLASE PLUS

Fecha

Valor liquidativo

03/11/2023 7,89965434 euros
02/11/2023 7,86349056 euros
01/11/2023 7,79817619 euros
31/10/2023 7,78141366 euros
30/10/2023 7,77033567 euros
29/10/2023 7,76725599 euros
28/10/2023 7,76740831 euros
27/10/2023 7,76756434 euros
26/10/2023 7,7650484 euros
25/10/2023 7,7559323 euros
24/10/2023 7,76603484 euros
23/10/2023 7,73934083 euros
22/10/2023 7,76868724 euros
21/10/2023 7,76882744 euros
20/10/2023 7,76897057 euros
19/10/2023 7,78205912 euros
18/10/2023 7,8127246 euros
17/10/2023 7,83091298 euros
16/10/2023 7,84921632 euros
15/10/2023 7,86737842 euros
14/10/2023 7,86749198 euros
13/10/2023 7,86760526 euros
12/10/2023 7,86736368 euros
11/10/2023 7,87139005 euros
10/10/2023 7,83977017 euros
09/10/2023 7,80776032 euros
08/10/2023 7,78420828 euros
07/10/2023 7,78436494 euros
06/10/2023 7,78452139 euros
05/10/2023 7,79373432 euros
04/10/2023 7,78948552 euros
03/10/2023 7,8147436 euros
02/10/2023 7,8532585 euros
01/10/2023 7,93794071 euros
30/09/2023 7,93808868 euros
29/09/2023 7,93823858 euros
28/09/2023 7,90683438 euros
27/09/2023 7,93551846 euros
26/09/2023 7,94694038 euros
25/09/2023 7,96256037 euros
24/09/2023 7,97431347 euros
23/09/2023 7,97447966 euros
22/09/2023 7,9746458 euros
21/09/2023 7,97604395 euros
20/09/2023 8,01176277 euros
19/09/2023 8,00442512 euros
18/09/2023 8,01292299 euros
17/09/2023 8,02915842 euros
16/09/2023 8,02932756 euros
15/09/2023 8,02949658 euros