Fondos liquidativos

Fons: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE PLUS

Data

Valor liquidatiu

31/12/2015 7,835312 euros
30/12/2015 7,83506959 euros
29/12/2015 7,83609517 euros
28/12/2015 7,83540958 euros
27/12/2015 7,83605082 euros
26/12/2015 7,83582537 euros
25/12/2015 7,83559992 euros
24/12/2015 7,83536779 euros
23/12/2015 7,83518505 euros
22/12/2015 7,83596545 euros
21/12/2015 7,83585757 euros
20/12/2015 7,83635067 euros
19/12/2015 7,83613423 euros
18/12/2015 7,83591751 euros
17/12/2015 7,83599269 euros
16/12/2015 7,83599785 euros
15/12/2015 7,83578089 euros
14/12/2015 7,83608914 euros
13/12/2015 7,83650012 euros
12/12/2015 7,83627124 euros
11/12/2015 7,83603899 euros
10/12/2015 7,83657982 euros
09/12/2015 7,83674971 euros
08/12/2015 7,8369891 euros
07/12/2015 7,83677999 euros
06/12/2015 7,83652783 euros
05/12/2015 7,83630289 euros
04/12/2015 7,83607758 euros
03/12/2015 7,83640252 euros
02/12/2015 7,83715789 euros
01/12/2015 7,83685419 euros
30/11/2015 7,83700493 euros
29/11/2015 7,8369487 euros
28/11/2015 7,83671961 euros
27/11/2015 7,83648931 euros
26/11/2015 7,83631574 euros
25/11/2015 7,83638373 euros
24/11/2015 7,83608091 euros
23/11/2015 7,83607264 euros
22/11/2015 7,8358513 euros
21/11/2015 7,83557611 euros
20/11/2015 7,83530112 euros
19/11/2015 7,83525003 euros
18/11/2015 7,83569718 euros
17/11/2015 7,83522396 euros
16/11/2015 7,8348166 euros
15/11/2015 7,83446986 euros
14/11/2015 7,83415833 euros
13/11/2015 7,83384482 euros
12/11/2015 7,83342033 euros