Fondos liquidativos

Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE INSTITUCIONAL

Fecha

Valor liquidativo

23/12/2014 7,95091395 euros
22/12/2014 7,95258058 euros
21/12/2014 7,95215302 euros
20/12/2014 7,95169958 euros
19/12/2014 7,95124618 euros
18/12/2014 7,95129398 euros
17/12/2014 7,95175961 euros
16/12/2014 7,95166136 euros
15/12/2014 7,95187686 euros
14/12/2014 7,95212107 euros
13/12/2014 7,95165874 euros
12/12/2014 7,95119649 euros
11/12/2014 7,95141301 euros
10/12/2014 7,95226586 euros
09/12/2014 7,9526279 euros
08/12/2014 7,95334326 euros
07/12/2014 7,95287346 euros
06/12/2014 7,9524102 euros
05/12/2014 7,95194576 euros
04/12/2014 7,95198624 euros
03/12/2014 7,95293943 euros
02/12/2014 7,95294128 euros
01/12/2014 7,95262399 euros
30/11/2014 7,95297519 euros
29/11/2014 7,95252294 euros
28/11/2014 7,95207073 euros
27/11/2014 7,95232976 euros
26/11/2014 7,95311524 euros
25/11/2014 7,9530464 euros
24/11/2014 7,95320925 euros
23/11/2014 7,95317515 euros
22/11/2014 7,95273368 euros
21/11/2014 7,95229267 euros
20/11/2014 7,95198473 euros
19/11/2014 7,95267086 euros
18/11/2014 7,95286242 euros
17/11/2014 7,95314369 euros
16/11/2014 7,9530425 euros
15/11/2014 7,95260672 euros
14/11/2014 7,95217145 euros
13/11/2014 7,95216324 euros
12/11/2014 7,95314324 euros
11/11/2014 7,95320407 euros
10/11/2014 7,9531301 euros
09/11/2014 7,95298799 euros
08/11/2014 7,95254881 euros
07/11/2014 7,95210961 euros
06/11/2014 7,95193277 euros
05/11/2014 7,95263121 euros
04/11/2014 7,95252746 euros