Fondos liquidativos

Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE PREMIUM

Fecha

Valor liquidativo

05/12/2025 8,41175902 euros
04/12/2025 8,41154982 euros
03/12/2025 8,41110986 euros
02/12/2025 8,41072683 euros
01/12/2025 8,41024674 euros
30/11/2025 8,40983049 euros
29/11/2025 8,4094656 euros
28/11/2025 8,40910085 euros
27/11/2025 8,4086828 euros
26/11/2025 8,40816256 euros
25/11/2025 8,40783987 euros
24/11/2025 8,40746425 euros
23/11/2025 8,4069655 euros
22/11/2025 8,40660142 euros
21/11/2025 8,40623561 euros
20/11/2025 8,40589179 euros
19/11/2025 8,40542487 euros
18/11/2025 8,40502933 euros
17/11/2025 8,40457615 euros
16/11/2025 8,40413257 euros
15/11/2025 8,40377422 euros
14/11/2025 8,40341242 euros
13/11/2025 8,4032254 euros
12/11/2025 8,40290481 euros
11/11/2025 8,40246458 euros
10/11/2025 8,40209463 euros
09/11/2025 8,40164606 euros
08/11/2025 8,40128281 euros
07/11/2025 8,40091808 euros
06/11/2025 8,40072619 euros
05/11/2025 8,40032764 euros
04/11/2025 8,39993029 euros
03/11/2025 8,39941053 euros
02/11/2025 8,3993081 euros
01/11/2025 8,39894157 euros
31/10/2025 8,39857491 euros
30/10/2025 8,39807469 euros
29/10/2025 8,39769469 euros
28/10/2025 8,39725203 euros
27/10/2025 8,39669252 euros
26/10/2025 8,39627586 euros
25/10/2025 8,39590974 euros
24/10/2025 8,39554455 euros
23/10/2025 8,39531632 euros
22/10/2025 8,39479889 euros
21/10/2025 8,39456489 euros
20/10/2025 8,3941776 euros
19/10/2025 8,39342802 euros
18/10/2025 8,39306202 euros
17/10/2025 8,39269682 euros