Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE PREMIUM
Fecha |
Valor liquidativo |
---|---|
20/06/2013 | 7,81113791 euros |
19/06/2013 | 7,81398354 euros |
18/06/2013 | 7,81327308 euros |
17/06/2013 | 7,81414426 euros |
16/06/2013 | 7,81533383 euros |
15/06/2013 | 7,81486581 euros |
14/06/2013 | 7,81439726 euros |
13/06/2013 | 7,81445035 euros |
12/06/2013 | 7,81565412 euros |
11/06/2013 | 7,81551933 euros |
10/06/2013 | 7,81761353 euros |
09/06/2013 | 7,8174724 euros |
08/06/2013 | 7,81699871 euros |
07/06/2013 | 7,81652509 euros |
06/06/2013 | 7,81680648 euros |
05/06/2013 | 7,81977398 euros |
04/06/2013 | 7,820245 euros |
03/06/2013 | 7,81945237 euros |
02/06/2013 | 7,82003673 euros |
01/06/2013 | 7,81956937 euros |
31/05/2013 | 7,81910185 euros |
30/05/2013 | 7,81938412 euros |
29/05/2013 | 7,8183088 euros |
28/05/2013 | 7,82041887 euros |
27/05/2013 | 7,81998835 euros |
26/05/2013 | 7,81877522 euros |
25/05/2013 | 7,8183015 euros |
24/05/2013 | 7,81782777 euros |
23/05/2013 | 7,81851012 euros |
22/05/2013 | 7,8207499 euros |
21/05/2013 | 7,82251882 euros |
20/05/2013 | 7,8228281 euros |
19/05/2013 | 7,82252528 euros |
18/05/2013 | 7,82205646 euros |
17/05/2013 | 7,82158753 euros |
16/05/2013 | 7,82014536 euros |
15/05/2013 | 7,81891281 euros |
14/05/2013 | 7,82007077 euros |
13/05/2013 | 7,82050656 euros |
12/05/2013 | 7,82082624 euros |
11/05/2013 | 7,8203738 euros |
10/05/2013 | 7,81992167 euros |
09/05/2013 | 7,82049421 euros |
08/05/2013 | 7,82068907 euros |
07/05/2013 | 7,82180769 euros |
06/05/2013 | 7,8223789 euros |
05/05/2013 | 7,82244172 euros |
04/05/2013 | 7,82198411 euros |
03/05/2013 | 7,82152653 euros |
02/05/2013 | 7,81952198 euros |