Fondos liquidativos

Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE PLUS

Fecha

Valor liquidativo

11/05/2019 7,78707816 euros
10/05/2019 7,78701121 euros
09/05/2019 7,78734148 euros
08/05/2019 7,78851335 euros
07/05/2019 7,78947151 euros
06/05/2019 7,789353 euros
05/05/2019 7,78972005 euros
04/05/2019 7,78964068 euros
03/05/2019 7,78956123 euros
02/05/2019 7,78930101 euros
01/05/2019 7,7891028 euros
30/04/2019 7,78902628 euros
29/04/2019 7,78854068 euros
28/04/2019 7,78802357 euros
27/04/2019 7,78795494 euros
26/04/2019 7,78788592 euros
25/04/2019 7,78717224 euros
24/04/2019 7,78778727 euros
23/04/2019 7,78790704 euros
22/04/2019 7,7884287 euros
21/04/2019 7,78835411 euros
20/04/2019 7,78827947 euros
19/04/2019 7,78820046 euros
18/04/2019 7,78813028 euros
17/04/2019 7,78809276 euros
16/04/2019 7,78901897 euros
15/04/2019 7,78925344 euros
14/04/2019 7,789706 euros
13/04/2019 7,78963353 euros
12/04/2019 7,78956019 euros
11/04/2019 7,78911699 euros
10/04/2019 7,78906708 euros
09/04/2019 7,78870233 euros
08/04/2019 7,78840201 euros
07/04/2019 7,78845631 euros
06/04/2019 7,78837856 euros
05/04/2019 7,78829884 euros
04/04/2019 7,78798103 euros
03/04/2019 7,78827294 euros
02/04/2019 7,78838799 euros
01/04/2019 7,78858979 euros
31/03/2019 7,78868984 euros
30/03/2019 7,78861228 euros
29/03/2019 7,78853409 euros
28/03/2019 7,78870661 euros
27/03/2019 7,78898125 euros
26/03/2019 7,78892897 euros
25/03/2019 7,78901958 euros
24/03/2019 7,78904362 euros
23/03/2019 7,78897158 euros