Fondos liquidativos

Fondo: CAIXABANK MIXTO DIVIDENDOS, FI CLASE PLUS

Fecha

Valor liquidativo

18/10/2024 8,47366727 euros
17/10/2024 8,46762466 euros
16/10/2024 8,4513816 euros
15/10/2024 8,45050899 euros
14/10/2024 8,43929565 euros
13/10/2024 8,42262919 euros
12/10/2024 8,42281142 euros
11/10/2024 8,42299398 euros
10/10/2024 8,4172987 euros
09/10/2024 8,4115296 euros
08/10/2024 8,40757423 euros
07/10/2024 8,42421006 euros
06/10/2024 8,42450484 euros
05/10/2024 8,42469663 euros
04/10/2024 8,42488939 euros
03/10/2024 8,43108214 euros
02/10/2024 8,43108271 euros
01/10/2024 8,44200415 euros
30/09/2024 8,48405259 euros
29/09/2024 8,49481147 euros
28/09/2024 8,4949968 euros
27/09/2024 8,49518281 euros
26/09/2024 8,48638611 euros
25/09/2024 8,46041079 euros
24/09/2024 8,46225562 euros
23/09/2024 8,44749437 euros
22/09/2024 8,44259109 euros
21/09/2024 8,44277198 euros
20/09/2024 8,44295308 euros
19/09/2024 8,44975921 euros
18/09/2024 8,42541021 euros
17/09/2024 8,43372738 euros
16/09/2024 8,4296733 euros
15/09/2024 8,41768447 euros
14/09/2024 8,41786629 euros
13/09/2024 8,41804852 euros
12/09/2024 8,40530882 euros
11/09/2024 8,38646921 euros
10/09/2024 8,38707794 euros
09/09/2024 8,37732441 euros
08/09/2024 8,37768555 euros
07/09/2024 8,37786481 euros
06/09/2024 8,37804403 euros
05/09/2024 8,38993693 euros
04/09/2024 8,38036939 euros
03/09/2024 8,40059418 euros
02/09/2024 8,4047256 euros
01/09/2024 8,40906547 euros
31/08/2024 8,40924778 euros
30/08/2024 8,40943063 euros