Fondos liquidativos

Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE REPARTO

Fecha

Valor liquidativo

24/01/2026 6,46062361 euros
23/01/2026 6,46040902 euros
22/01/2026 6,460215 euros
21/01/2026 6,45991072 euros
20/01/2026 6,45956997 euros
19/01/2026 6,45927553 euros
18/01/2026 6,45891075 euros
17/01/2026 6,45869464 euros
16/01/2026 6,45847818 euros
15/01/2026 6,45825872 euros
14/01/2026 6,45795295 euros
13/01/2026 6,4576285 euros
12/01/2026 6,45725446 euros
11/01/2026 6,45701525 euros
10/01/2026 6,45680494 euros
09/01/2026 6,45659461 euros
08/01/2026 6,4563321 euros
07/01/2026 6,45599428 euros
06/01/2026 6,45571191 euros
05/01/2026 6,4552373 euros
04/01/2026 6,45480029 euros
03/01/2026 6,45458879 euros
02/01/2026 6,45437673 euros
01/01/2026 6,45413236 euros
31/12/2025 6,45391978 euros
30/12/2025 6,45371093 euros
29/12/2025 6,45347091 euros
28/12/2025 6,45301084 euros
27/12/2025 6,45279787 euros
26/12/2025 6,4525849 euros
25/12/2025 6,45237191 euros
24/12/2025 6,45215893 euros
23/12/2025 6,4519449 euros
22/12/2025 6,45157519 euros
21/12/2025 6,45137864 euros
20/12/2025 6,45116453 euros
19/12/2025 6,45094976 euros
18/12/2025 6,45069614 euros
17/12/2025 6,45049446 euros
16/12/2025 6,45026332 euros
15/12/2025 6,44998292 euros
14/12/2025 6,44967093 euros
13/12/2025 6,449456 euros
12/12/2025 6,44924099 euros
11/12/2025 6,44901951 euros
10/12/2025 6,44872082 euros
09/12/2025 6,44855669 euros
08/12/2025 6,44839033 euros
07/12/2025 6,44837457 euros
06/12/2025 6,44815764 euros