Fondos liquidativos

Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE INSTITUCIONAL

Fecha

Valor liquidativo

29/07/2025 8,57262197 euros
28/07/2025 8,57225896 euros
27/07/2025 8,57168087 euros
26/07/2025 8,57124348 euros
25/07/2025 8,57080618 euros
24/07/2025 8,57045562 euros
23/07/2025 8,57036305 euros
22/07/2025 8,56980145 euros
21/07/2025 8,56910426 euros
20/07/2025 8,5683205 euros
19/07/2025 8,56788407 euros
18/07/2025 8,56744781 euros
17/07/2025 8,56690515 euros
16/07/2025 8,56634447 euros
15/07/2025 8,56579189 euros
14/07/2025 8,56483449 euros
13/07/2025 8,56413497 euros
12/07/2025 8,56369817 euros
11/07/2025 8,56326126 euros
10/07/2025 8,56301821 euros
09/07/2025 8,56266166 euros
08/07/2025 8,56208276 euros
07/07/2025 8,56176292 euros
06/07/2025 8,5611735 euros
05/07/2025 8,5607349 euros
04/07/2025 8,56029538 euros
03/07/2025 8,5597294 euros
02/07/2025 8,55875302 euros
01/07/2025 8,55811194 euros
30/06/2025 8,55748645 euros
29/06/2025 8,55680502 euros
28/06/2025 8,55636186 euros
27/06/2025 8,55592337 euros
26/06/2025 8,55542744 euros
25/06/2025 8,55457333 euros
24/06/2025 8,55390309 euros
23/06/2025 8,55297668 euros
22/06/2025 8,5524929 euros
21/06/2025 8,55205159 euros
20/06/2025 8,55161137 euros
19/06/2025 8,55100152 euros
18/06/2025 8,55043245 euros
17/06/2025 8,54982942 euros
16/06/2025 8,54950728 euros
15/06/2025 8,54880824 euros
14/06/2025 8,54836348 euros
13/06/2025 8,54791937 euros
12/06/2025 8,54773921 euros
11/06/2025 8,54722807 euros
10/06/2025 8,54658063 euros