Fondos liquidativos

Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE PLUS

Fecha

Valor liquidativo

27/08/2025 8,2530177 euros
26/08/2025 8,25265895 euros
25/08/2025 8,25238749 euros
24/08/2025 8,25208697 euros
23/08/2025 8,25178835 euros
22/08/2025 8,25159233 euros
21/08/2025 8,2511221 euros
20/08/2025 8,25092304 euros
19/08/2025 8,25055131 euros
18/08/2025 8,25009402 euros
17/08/2025 8,24978022 euros
16/08/2025 8,24948045 euros
15/08/2025 8,24918066 euros
14/08/2025 8,24887926 euros
13/08/2025 8,24851339 euros
12/08/2025 8,24781435 euros
11/08/2025 8,24755754 euros
10/08/2025 8,24720055 euros
09/08/2025 8,24690143 euros
08/08/2025 8,24660266 euros
07/08/2025 8,24647218 euros
06/08/2025 8,24607589 euros
05/08/2025 8,24572408 euros
04/08/2025 8,24556069 euros
03/08/2025 8,24504193 euros
02/08/2025 8,24474746 euros
01/08/2025 8,24445226 euros
31/07/2025 8,2441645 euros
30/07/2025 8,24377845 euros
29/07/2025 8,24343328 euros
28/07/2025 8,24320664 euros
27/07/2025 8,24277371 euros
26/07/2025 8,24247607 euros
25/07/2025 8,24217827 euros
24/07/2025 8,24196293 euros
23/07/2025 8,24199685 euros
22/07/2025 8,2415797 euros
21/07/2025 8,24103213 euros
20/07/2025 8,24040131 euros
19/07/2025 8,24010451 euros
18/07/2025 8,23980798 euros
17/07/2025 8,23940912 euros
16/07/2025 8,23899328 euros
15/07/2025 8,23858471 euros
14/07/2025 8,23778669 euros
13/07/2025 8,23723676 euros
12/07/2025 8,23693951 euros
11/07/2025 8,23664215 euros
10/07/2025 8,23653099 euros
09/07/2025 8,23631089 euros