Fondos liquidativos

Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

17/03/2025 8,06339022 euros
16/03/2025 8,06288534 euros
15/03/2025 8,06263448 euros
14/03/2025 8,06238036 euros
13/03/2025 8,06187899 euros
12/03/2025 8,06118606 euros
11/03/2025 8,06094243 euros
10/03/2025 8,06054546 euros
09/03/2025 8,06003075 euros
08/03/2025 8,05977583 euros
07/03/2025 8,05951143 euros
06/03/2025 8,05888182 euros
05/03/2025 8,05845146 euros
04/03/2025 8,05883455 euros
03/03/2025 8,05837479 euros
02/03/2025 8,05806076 euros
01/03/2025 8,0578076 euros
28/02/2025 8,05754841 euros
27/02/2025 8,05710558 euros
26/02/2025 8,05629476 euros
25/02/2025 8,05595429 euros
24/02/2025 8,05546537 euros
23/02/2025 8,05500563 euros
22/02/2025 8,05475755 euros
21/02/2025 8,05450972 euros
20/02/2025 8,05390351 euros
19/02/2025 8,05314913 euros
18/02/2025 8,05301702 euros
17/02/2025 8,05245461 euros
16/02/2025 8,05202785 euros
15/02/2025 8,05177395 euros
14/02/2025 8,05152017 euros
13/02/2025 8,05109081 euros
12/02/2025 8,05003454 euros
11/02/2025 8,04979955 euros
10/02/2025 8,04953828 euros
09/02/2025 8,04909525 euros
08/02/2025 8,04884068 euros
07/02/2025 8,04858631 euros
06/02/2025 8,04827927 euros
05/02/2025 8,0476854 euros
04/02/2025 8,04720218 euros
03/02/2025 8,04671354 euros
02/02/2025 8,04603058 euros
01/02/2025 8,04576902 euros
31/01/2025 8,0455085 euros
30/01/2025 8,04443445 euros
29/01/2025 8,04315778 euros
28/01/2025 8,04259456 euros
27/01/2025 8,04203248 euros