Fondos liquidativos

Fondo: CAIXABANK MIXTO DIVIDENDOS, FI CLASE ESTANDAR

Fecha

Valor liquidativo

03/03/2024 7,8423618 euros
02/03/2024 7,84257547 euros
01/03/2024 7,84278942 euros
29/02/2024 7,82468387 euros
28/02/2024 7,8168936 euros
27/02/2024 7,82240941 euros
26/02/2024 7,830635 euros
25/02/2024 7,83454599 euros
24/02/2024 7,83476135 euros
23/02/2024 7,83497672 euros
22/02/2024 7,82407574 euros
21/02/2024 7,80325916 euros
20/02/2024 7,80511071 euros
19/02/2024 7,80614191 euros
18/02/2024 7,80518905 euros
17/02/2024 7,80539866 euros
16/02/2024 7,80561004 euros
15/02/2024 7,80987723 euros
14/02/2024 7,79346255 euros
13/02/2024 7,78741875 euros
12/02/2024 7,80620956 euros
11/02/2024 7,79648725 euros
10/02/2024 7,79670083 euros
09/02/2024 7,79691542 euros
08/02/2024 7,80060953 euros
07/02/2024 7,81083794 euros
06/02/2024 7,80354435 euros
05/02/2024 7,80627879 euros
04/02/2024 7,82417149 euros
03/02/2024 7,82438003 euros
02/02/2024 7,82458997 euros
01/02/2024 7,82776155 euros
31/01/2024 7,81957901 euros
30/01/2024 7,81532127 euros
29/01/2024 7,81106223 euros
28/01/2024 7,78180813 euros
27/01/2024 7,7820112 euros
26/01/2024 7,78221791 euros
25/01/2024 7,76985038 euros
24/01/2024 7,76043071 euros
23/01/2024 7,74965182 euros
22/01/2024 7,7536319 euros
21/01/2024 7,73261128 euros
20/01/2024 7,73281529 euros
19/01/2024 7,73302111 euros
18/01/2024 7,72127888 euros
17/01/2024 7,71836374 euros
16/01/2024 7,75637653 euros
15/01/2024 7,76508708 euros
14/01/2024 7,76660151 euros