Fondos liquidativos

Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE INSTITUCIONAL

Fecha

Valor liquidativo

10/08/2013 7,86006397 euros
09/08/2013 7,85958558 euros
08/08/2013 7,85880163 euros
07/08/2013 7,85750911 euros
06/08/2013 7,85754979 euros
05/08/2013 7,85503968 euros
04/08/2013 7,85540623 euros
03/08/2013 7,85493003 euros
02/08/2013 7,85445406 euros
01/08/2013 7,85369982 euros
31/07/2013 7,85279852 euros
30/07/2013 7,85249357 euros
29/07/2013 7,85167641 euros
28/07/2013 7,85139446 euros
27/07/2013 7,85091382 euros
26/07/2013 7,85043369 euros
25/07/2013 7,84938278 euros
24/07/2013 7,84815506 euros
23/07/2013 7,84831145 euros
22/07/2013 7,84830592 euros
21/07/2013 7,84788872 euros
20/07/2013 7,8474104 euros
19/07/2013 7,8469321 euros
18/07/2013 7,84633955 euros
17/07/2013 7,84427522 euros
16/07/2013 7,84507359 euros
15/07/2013 7,84421022 euros
14/07/2013 7,84416387 euros
13/07/2013 7,84366399 euros
12/07/2013 7,84316404 euros
11/07/2013 7,8431156 euros
10/07/2013 7,8440849 euros
09/07/2013 7,84690762 euros
08/07/2013 7,84744333 euros
07/07/2013 7,84592188 euros
06/07/2013 7,84542005 euros
05/07/2013 7,84491814 euros
04/07/2013 7,84237981 euros
03/07/2013 7,83919235 euros
02/07/2013 7,8420641 euros
01/07/2013 7,83981782 euros
30/06/2013 7,83702054 euros
29/06/2013 7,83650516 euros
28/06/2013 7,83598672 euros
27/06/2013 7,8356063 euros
26/06/2013 7,83309014 euros
25/06/2013 7,83010045 euros
24/06/2013 7,83279019 euros
23/06/2013 7,83772341 euros
22/06/2013 7,83721356 euros