Fondos liquidativos

Fondo: CAIXABANK MIXTO DIVIDENDOS, FI CLASE PLUS

Fecha

Valor liquidativo

26/01/2025 8,46780589 euros
25/01/2025 8,46800417 euros
24/01/2025 8,46820243 euros
23/01/2025 8,46655631 euros
22/01/2025 8,4673865 euros
21/01/2025 8,45453783 euros
20/01/2025 8,44351923 euros
19/01/2025 8,442601 euros
18/01/2025 8,44277189 euros
17/01/2025 8,44294433 euros
16/01/2025 8,42056577 euros
15/01/2025 8,40316083 euros
14/01/2025 8,37011728 euros
13/01/2025 8,37023227 euros
12/01/2025 8,38804497 euros
11/01/2025 8,38821365 euros
10/01/2025 8,38838271 euros
09/01/2025 8,40742108 euros
08/01/2025 8,40348934 euros
07/01/2025 8,41183818 euros
06/01/2025 8,41144151 euros
05/01/2025 8,41289698 euros
04/01/2025 8,41306964 euros
03/01/2025 8,41324274 euros
02/01/2025 8,48097364 euros
01/01/2025 8,46086673 euros
31/12/2024 8,46090721 euros
30/12/2024 8,45129668 euros
29/12/2024 8,46641198 euros
28/12/2024 8,46659062 euros
27/12/2024 8,46676927 euros
26/12/2024 8,46422402 euros
25/12/2024 8,46435628 euros
24/12/2024 8,46439633 euros
23/12/2024 8,45946493 euros
22/12/2024 8,44548351 euros
21/12/2024 8,44566074 euros
20/12/2024 8,44583875 euros
19/12/2024 8,45301734 euros
18/12/2024 8,49282881 euros
17/12/2024 8,50712343 euros
16/12/2024 8,52226111 euros
15/12/2024 8,52883225 euros
14/12/2024 8,52901015 euros
13/12/2024 8,52918848 euros
12/12/2024 8,54884013 euros
11/12/2024 8,55449329 euros
10/12/2024 8,54342044 euros
09/12/2024 8,54087881 euros
08/12/2024 8,53874347 euros