Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE INSTITUCIONAL
|
Fecha |
Valor liquidativo |
|---|---|
| 02/10/2024 | 8,37835535 euros |
| 01/10/2024 | 8,3775078 euros |
| 30/09/2024 | 8,37652001 euros |
| 29/09/2024 | 8,37541654 euros |
| 28/09/2024 | 8,37493785 euros |
| 27/09/2024 | 8,37446169 euros |
| 26/09/2024 | 8,37356104 euros |
| 25/09/2024 | 8,37202087 euros |
| 24/09/2024 | 8,37116915 euros |
| 23/09/2024 | 8,36977307 euros |
| 22/09/2024 | 8,36829211 euros |
| 21/09/2024 | 8,36780613 euros |
| 20/09/2024 | 8,36731815 euros |
| 19/09/2024 | 8,36667509 euros |
| 18/09/2024 | 8,36499649 euros |
| 17/09/2024 | 8,36422603 euros |
| 16/09/2024 | 8,36316348 euros |
| 15/09/2024 | 8,36202826 euros |
| 14/09/2024 | 8,3615186 euros |
| 13/09/2024 | 8,36100714 euros |
| 12/09/2024 | 8,35986469 euros |
| 11/09/2024 | 8,35883145 euros |
| 10/09/2024 | 8,35793328 euros |
| 09/09/2024 | 8,35709907 euros |
| 08/09/2024 | 8,35627839 euros |
| 07/09/2024 | 8,35576526 euros |
| 06/09/2024 | 8,35524623 euros |
| 05/09/2024 | 8,35419887 euros |
| 04/09/2024 | 8,35269439 euros |
| 03/09/2024 | 8,35147767 euros |
| 02/09/2024 | 8,3505591 euros |
| 01/09/2024 | 8,34985277 euros |
| 31/08/2024 | 8,34933804 euros |
| 30/08/2024 | 8,34882786 euros |
| 29/08/2024 | 8,3481134 euros |
| 28/08/2024 | 8,3467121 euros |
| 27/08/2024 | 8,34586622 euros |
| 26/08/2024 | 8,34519043 euros |
| 25/08/2024 | 8,3442713 euros |
| 24/08/2024 | 8,34375022 euros |
| 23/08/2024 | 8,34322815 euros |
| 22/08/2024 | 8,34216523 euros |
| 21/08/2024 | 8,34081445 euros |
| 20/08/2024 | 8,33990749 euros |
| 19/08/2024 | 8,33893287 euros |
| 18/08/2024 | 8,33792632 euros |
| 17/08/2024 | 8,33741201 euros |
| 16/08/2024 | 8,33689443 euros |
| 15/08/2024 | 8,33539189 euros |
| 14/08/2024 | 8,3348643 euros |