Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE PREMIUM
Fecha |
Valor liquidativo |
---|---|
12/03/2013 | 7,79524098 euros |
11/03/2013 | 7,79465507 euros |
10/03/2013 | 7,79486788 euros |
09/03/2013 | 7,7944617 euros |
08/03/2013 | 7,79405517 euros |
07/03/2013 | 7,79362138 euros |
06/03/2013 | 7,79302459 euros |
05/03/2013 | 7,79215421 euros |
04/03/2013 | 7,79139476 euros |
03/03/2013 | 7,79066417 euros |
02/03/2013 | 7,79027268 euros |
01/03/2013 | 7,78988097 euros |
28/02/2013 | 7,78930835 euros |
27/02/2013 | 7,78590693 euros |
26/02/2013 | 7,78470164 euros |
25/02/2013 | 7,79099511 euros |
24/02/2013 | 7,79108576 euros |
23/02/2013 | 7,79069662 euros |
22/02/2013 | 7,79030728 euros |
21/02/2013 | 7,78926847 euros |
20/02/2013 | 7,78913293 euros |
19/02/2013 | 7,7894927 euros |
18/02/2013 | 7,78883244 euros |
17/02/2013 | 7,78868934 euros |
16/02/2013 | 7,78832054 euros |
15/02/2013 | 7,78795153 euros |
14/02/2013 | 7,78721326 euros |
13/02/2013 | 7,78650954 euros |
12/02/2013 | 7,78523043 euros |
11/02/2013 | 7,78423054 euros |
10/02/2013 | 7,78408221 euros |
09/02/2013 | 7,78370263 euros |
08/02/2013 | 7,78332299 euros |
07/02/2013 | 7,78243637 euros |
06/02/2013 | 7,78194887 euros |
05/02/2013 | 7,78209708 euros |
04/02/2013 | 7,78143532 euros |
03/02/2013 | 7,78364316 euros |
02/02/2013 | 7,78326016 euros |
01/02/2013 | 7,78287686 euros |
31/01/2013 | 7,78242291 euros |
30/01/2013 | 7,78296614 euros |
29/01/2013 | 7,78383535 euros |
28/01/2013 | 7,78303258 euros |
27/01/2013 | 7,78355091 euros |
26/01/2013 | 7,78314127 euros |
25/01/2013 | 7,78273165 euros |
24/01/2013 | 7,78308308 euros |
23/01/2013 | 7,78259296 euros |
22/01/2013 | 7,78164723 euros |