Fondos liquidativos

Fondo: CAIXABANK MIXTO DIVIDENDOS, FI CLASE PLUS

Fecha

Valor liquidativo

01/07/2025 8,48518373 euros
30/06/2025 8,54221252 euros
29/06/2025 8,52961142 euros
28/06/2025 8,52978806 euros
27/06/2025 8,52996491 euros
26/06/2025 8,5248179 euros
25/06/2025 8,51493184 euros
24/06/2025 8,50904103 euros
23/06/2025 8,47604105 euros
22/06/2025 8,47570458 euros
21/06/2025 8,47587351 euros
20/06/2025 8,4760426 euros
19/06/2025 8,47928262 euros
18/06/2025 8,48861561 euros
17/06/2025 8,48644345 euros
16/06/2025 8,4968696 euros
15/06/2025 8,48609303 euros
14/06/2025 8,48626129 euros
13/06/2025 8,4864299 euros
12/06/2025 8,50443175 euros
11/06/2025 8,50654345 euros
10/06/2025 8,50644754 euros
09/06/2025 8,48765792 euros
08/06/2025 8,48539262 euros
07/06/2025 8,48555848 euros
06/06/2025 8,48572459 euros
05/06/2025 8,48624246 euros
04/06/2025 8,47818002 euros
03/06/2025 8,46281156 euros
02/06/2025 8,45232566 euros
01/06/2025 8,45281693 euros
31/05/2025 8,45297601 euros
30/05/2025 8,45313513 euros
29/05/2025 8,45098564 euros
28/05/2025 8,45044104 euros
27/05/2025 8,45194798 euros
26/05/2025 8,43180031 euros
25/05/2025 8,4284126 euros
24/05/2025 8,42857467 euros
23/05/2025 8,42873725 euros
22/05/2025 8,42569707 euros
21/05/2025 8,44309088 euros
20/05/2025 8,4594865 euros
19/05/2025 8,4436572 euros
18/05/2025 8,4537051 euros
17/05/2025 8,45388059 euros
16/05/2025 8,45405621 euros
15/05/2025 8,43179974 euros
14/05/2025 8,43099128 euros
13/05/2025 8,43716481 euros