Fondos liquidativos

Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE PLUS

Fecha

Valor liquidativo

06/05/2016 7,84224556 euros
05/05/2016 7,8424043 euros
04/05/2016 7,8426032 euros
03/05/2016 7,84268457 euros
02/05/2016 7,84214524 euros
01/05/2016 7,84242532 euros
30/04/2016 7,84225951 euros
29/04/2016 7,84209296 euros
28/04/2016 7,84228313 euros
27/04/2016 7,84257134 euros
26/04/2016 7,84207238 euros
25/04/2016 7,84198111 euros
24/04/2016 7,84172353 euros
23/04/2016 7,84155934 euros
22/04/2016 7,84139523 euros
21/04/2016 7,84127511 euros
20/04/2016 7,84175181 euros
19/04/2016 7,84144859 euros
18/04/2016 7,84135635 euros
17/04/2016 7,84098694 euros
16/04/2016 7,84081755 euros
15/04/2016 7,84064801 euros
14/04/2016 7,84039643 euros
13/04/2016 7,84045313 euros
12/04/2016 7,84016389 euros
11/04/2016 7,83914696 euros
10/04/2016 7,84015346 euros
09/04/2016 7,83998653 euros
08/04/2016 7,83981955 euros
07/04/2016 7,83979411 euros
06/04/2016 7,84028322 euros
05/04/2016 7,83995832 euros
04/04/2016 7,83981728 euros
03/04/2016 7,83940174 euros
02/04/2016 7,83922666 euros
01/04/2016 7,83905061 euros
31/03/2016 7,83887951 euros
30/03/2016 7,8387733 euros
29/03/2016 7,83890292 euros
28/03/2016 7,83863759 euros
27/03/2016 7,83846576 euros
26/03/2016 7,83829395 euros
25/03/2016 7,83812218 euros
24/03/2016 7,83795029 euros
23/03/2016 7,83798541 euros
22/03/2016 7,83809959 euros
21/03/2016 7,83840218 euros
20/03/2016 7,83750262 euros
19/03/2016 7,83732174 euros
18/03/2016 7,83714053 euros