Fondos liquidativos

Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE PLUS

Fecha

Valor liquidativo

16/10/2025 8,27055369 euros
15/10/2025 8,27013783 euros
14/10/2025 8,26960629 euros
13/10/2025 8,26947026 euros
12/10/2025 8,26902736 euros
11/10/2025 8,26871734 euros
10/10/2025 8,26841534 euros
09/10/2025 8,26804293 euros
08/10/2025 8,26757858 euros
07/10/2025 8,26713939 euros
06/10/2025 8,26675904 euros
05/10/2025 8,26584795 euros
04/10/2025 8,26578073 euros
03/10/2025 8,26592449 euros
02/10/2025 8,26563432 euros
01/10/2025 8,26506092 euros
30/09/2025 8,26457934 euros
29/09/2025 8,26427398 euros
28/09/2025 8,2639298 euros
27/09/2025 8,26363199 euros
26/09/2025 8,26333519 euros
25/09/2025 8,26307423 euros
24/09/2025 8,26275925 euros
23/09/2025 8,26251206 euros
22/09/2025 8,26211099 euros
21/09/2025 8,26178364 euros
20/09/2025 8,26148681 euros
19/09/2025 8,26119033 euros
18/09/2025 8,2607257 euros
17/09/2025 8,26031146 euros
16/09/2025 8,26003962 euros
15/09/2025 8,25966267 euros
14/09/2025 8,25915098 euros
13/09/2025 8,25885351 euros
12/09/2025 8,25855658 euros
11/09/2025 8,25826054 euros
10/09/2025 8,2578348 euros
09/09/2025 8,25755822 euros
08/09/2025 8,25729672 euros
07/09/2025 8,2567874 euros
06/09/2025 8,25648952 euros
05/09/2025 8,25618845 euros
04/09/2025 8,25557572 euros
03/09/2025 8,25503467 euros
02/09/2025 8,25444476 euros
01/09/2025 8,25445584 euros
31/08/2025 8,25411369 euros
30/08/2025 8,25382043 euros
29/08/2025 8,25352239 euros
28/08/2025 8,25332602 euros