Fondos liquidativos

Fondo: CAIXABANK MIXTO DIVIDENDOS, FI CLASE PLUS

Fecha

Valor liquidativo

29/08/2024 8,39898997 euros
28/08/2024 8,39548343 euros
27/08/2024 8,3871453 euros
26/08/2024 8,38381949 euros
25/08/2024 8,38240445 euros
24/08/2024 8,38258467 euros
23/08/2024 8,38276509 euros
22/08/2024 8,37582352 euros
21/08/2024 8,38005233 euros
20/08/2024 8,37713219 euros
19/08/2024 8,36958446 euros
18/08/2024 8,36273782 euros
17/08/2024 8,36292307 euros
16/08/2024 8,36310844 euros
15/08/2024 8,32456803 euros
14/08/2024 8,32431601 euros
13/08/2024 8,30946669 euros
12/08/2024 8,28747477 euros
11/08/2024 8,28097154 euros
10/08/2024 8,28115176 euros
09/08/2024 8,28133269 euros
08/08/2024 8,24892327 euros
07/08/2024 8,25909432 euros
06/08/2024 8,23869108 euros
05/08/2024 8,23335413 euros
04/08/2024 8,31023924 euros
03/08/2024 8,31041745 euros
02/08/2024 8,31059595 euros
01/08/2024 8,36461845 euros
31/07/2024 8,35774612 euros
30/07/2024 8,32570863 euros
29/07/2024 8,32684203 euros
28/07/2024 8,30086733 euros
27/07/2024 8,30104954 euros
26/07/2024 8,30123215 euros
25/07/2024 8,28560794 euros
24/07/2024 8,31128387 euros
23/07/2024 8,33281588 euros
22/07/2024 8,32265634 euros
21/07/2024 8,31863047 euros
20/07/2024 8,31881155 euros
19/07/2024 8,31899296 euros
18/07/2024 8,34432192 euros
17/07/2024 8,34342126 euros
16/07/2024 8,35044262 euros
15/07/2024 8,34464226 euros
14/07/2024 8,34100791 euros
13/07/2024 8,34117699 euros
12/07/2024 8,34134667 euros
11/07/2024 8,34168024 euros