Fondos liquidativos

Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE PLUS

Fecha

Valor liquidativo

23/07/2024 8,04041361 euros
22/07/2024 8,03942424 euros
21/07/2024 8,03886855 euros
20/07/2024 8,03847015 euros
19/07/2024 8,03807045 euros
18/07/2024 8,0375408 euros
17/07/2024 8,03620193 euros
16/07/2024 8,03556895 euros
15/07/2024 8,03482265 euros
14/07/2024 8,03399151 euros
13/07/2024 8,03360907 euros
12/07/2024 8,03322514 euros
11/07/2024 8,03262285 euros
10/07/2024 8,03086558 euros
09/07/2024 8,03002479 euros
08/07/2024 8,02948186 euros
07/07/2024 8,02874986 euros
06/07/2024 8,02835558 euros
05/07/2024 8,02795576 euros
04/07/2024 8,02696812 euros
03/07/2024 8,02583878 euros
02/07/2024 8,02486247 euros
01/07/2024 8,02419971 euros
30/06/2024 8,02336652 euros
29/06/2024 8,02297263 euros
28/06/2024 8,02257629 euros
27/06/2024 8,02191235 euros
26/06/2024 8,02079142 euros
25/06/2024 8,02015547 euros
24/06/2024 8,01948083 euros
23/06/2024 8,01878746 euros
22/06/2024 8,01839151 euros
21/06/2024 8,01800204 euros
20/06/2024 8,01707717 euros
19/06/2024 8,01579926 euros
18/06/2024 8,01528264 euros
17/06/2024 8,01425822 euros
16/06/2024 8,0138324 euros
15/06/2024 8,0134457 euros
14/06/2024 8,0130562 euros
13/06/2024 8,01276491 euros
12/06/2024 8,01153986 euros
11/06/2024 8,0105009 euros
10/06/2024 8,00965341 euros
09/06/2024 8,00897423 euros
08/06/2024 8,00857194 euros
07/06/2024 8,00817544 euros
06/06/2024 8,00761307 euros
05/06/2024 8,00657922 euros
04/06/2024 8,00573139 euros