Fondos liquidativos

Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE PLUS

Fecha

Valor liquidativo

16/12/2021 7,73647324 euros
15/12/2021 7,73737508 euros
14/12/2021 7,73772888 euros
13/12/2021 7,7377807 euros
12/12/2021 7,73783607 euros
11/12/2021 7,73781908 euros
10/12/2021 7,73780321 euros
09/12/2021 7,73779715 euros
08/12/2021 7,73788684 euros
07/12/2021 7,73834943 euros
06/12/2021 7,73820734 euros
05/12/2021 7,73844604 euros
04/12/2021 7,73841185 euros
03/12/2021 7,73839444 euros
02/12/2021 7,73831532 euros
01/12/2021 7,73861917 euros
30/11/2021 7,73863373 euros
29/11/2021 7,73887842 euros
28/11/2021 7,73936158 euros
27/11/2021 7,73934206 euros
26/11/2021 7,73932416 euros
25/11/2021 7,73982635 euros
24/11/2021 7,74049927 euros
23/11/2021 7,74047581 euros
22/11/2021 7,74085104 euros
21/11/2021 7,74112407 euros
20/11/2021 7,74110702 euros
19/11/2021 7,74109047 euros
18/11/2021 7,74100752 euros
17/11/2021 7,74128438 euros
16/11/2021 7,74125796 euros
15/11/2021 7,74137239 euros
14/11/2021 7,74158698 euros
13/11/2021 7,74156777 euros
12/11/2021 7,74154937 euros
11/11/2021 7,74152399 euros
10/11/2021 7,74229949 euros
09/11/2021 7,74289503 euros
08/11/2021 7,74298712 euros
07/11/2021 7,74307728 euros
06/11/2021 7,74305751 euros
05/11/2021 7,74303753 euros
04/11/2021 7,74320359 euros
03/11/2021 7,74289581 euros
02/11/2021 7,74303975 euros
01/11/2021 7,74227265 euros
31/10/2021 7,74217492 euros
30/10/2021 7,74216464 euros
29/10/2021 7,74215335 euros
28/10/2021 7,74310651 euros