Fondos liquidativos

Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE PLUS

Fecha

Valor liquidativo

31/01/2019 7,78425922 euros
30/01/2019 7,7838932 euros
29/01/2019 7,78350533 euros
28/01/2019 7,78310008 euros
27/01/2019 7,78295127 euros
26/01/2019 7,78283594 euros
25/01/2019 7,78272012 euros
24/01/2019 7,78214907 euros
23/01/2019 7,7822522 euros
22/01/2019 7,78212338 euros
21/01/2019 7,78213852 euros
20/01/2019 7,78176488 euros
19/01/2019 7,78165229 euros
18/01/2019 7,78153965 euros
17/01/2019 7,78118959 euros
16/01/2019 7,7813119 euros
15/01/2019 7,78059687 euros
14/01/2019 7,78018178 euros
13/01/2019 7,77960344 euros
12/01/2019 7,77948609 euros
11/01/2019 7,77936937 euros
10/01/2019 7,77894793 euros
09/01/2019 7,77901093 euros
08/01/2019 7,77869935 euros
07/01/2019 7,77891747 euros
06/01/2019 7,77908971 euros
05/01/2019 7,77897564 euros
04/01/2019 7,77886158 euros
03/01/2019 7,77891008 euros
02/01/2019 7,77974392 euros
01/01/2019 7,7798179 euros
31/12/2018 7,7797048 euros
30/12/2018 7,77960339 euros
29/12/2018 7,77948322 euros
28/12/2018 7,77935009 euros
27/12/2018 7,77971356 euros
26/12/2018 7,78059077 euros
25/12/2018 7,78046786 euros
24/12/2018 7,78034586 euros
23/12/2018 7,7802228 euros
22/12/2018 7,7801231 euros
21/12/2018 7,77999855 euros
20/12/2018 7,78042276 euros
19/12/2018 7,78041631 euros
18/12/2018 7,77982868 euros
17/12/2018 7,78013061 euros
16/12/2018 7,7802926 euros
15/12/2018 7,78018949 euros
14/12/2018 7,78008689 euros
13/12/2018 7,78020739 euros