Fondos liquidativos

Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE PREMIUM

Fecha

Valor liquidativo

24/01/2026 8,43241805 euros
23/01/2026 8,43205564 euros
22/01/2026 8,43172006 euros
21/01/2026 8,43124062 euros
20/01/2026 8,43071355 euros
19/01/2026 8,43024696 euros
18/01/2026 8,42968856 euros
17/01/2026 8,4293242 euros
16/01/2026 8,42895944 euros
15/01/2026 8,42859072 euros
14/01/2026 8,42810938 euros
13/01/2026 8,4276037 euros
12/01/2026 8,42703327 euros
11/01/2026 8,4266388 euros
10/01/2026 8,42628206 euros
09/01/2026 8,42592534 euros
08/01/2026 8,42550051 euros
07/01/2026 8,42497739 euros
06/01/2026 8,42452664 euros
05/01/2026 8,42382502 euros
04/01/2026 8,4231725 euros
03/01/2026 8,42281426 euros
02/01/2026 8,42245529 euros
01/01/2026 8,42205417 euros
31/12/2025 8,42169443 euros
30/12/2025 8,42134009 euros
29/12/2025 8,42094595 euros
28/12/2025 8,4202634 euros
27/12/2025 8,41990329 euros
26/12/2025 8,41954319 euros
25/12/2025 8,41918306 euros
24/12/2025 8,41882296 euros
23/12/2025 8,41846199 euros
22/12/2025 8,41789738 euros
21/12/2025 8,41755874 euros
20/12/2025 8,41719719 euros
19/12/2025 8,41683516 euros
18/12/2025 8,41642187 euros
17/12/2025 8,41607672 euros
16/12/2025 8,41569326 euros
15/12/2025 8,41524507 euros
14/12/2025 8,41475584 euros
13/12/2025 8,41439327 euros
12/12/2025 8,41403088 euros
11/12/2025 8,41365968 euros
10/12/2025 8,41318795 euros
09/12/2025 8,41289148 euros
08/12/2025 8,41259229 euros
07/12/2025 8,41248959 euros
06/12/2025 8,41212444 euros