Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE PREMIUM
Fecha |
Valor liquidativo |
---|---|
17/11/2013 | 7,86168427 euros |
16/11/2013 | 7,86127752 euros |
15/11/2013 | 7,86087091 euros |
14/11/2013 | 7,86147051 euros |
13/11/2013 | 7,86082448 euros |
12/11/2013 | 7,86145818 euros |
11/11/2013 | 7,86127716 euros |
10/11/2013 | 7,8612106 euros |
09/11/2013 | 7,8607979 euros |
08/11/2013 | 7,86038517 euros |
07/11/2013 | 7,86028184 euros |
06/11/2013 | 7,85729059 euros |
05/11/2013 | 7,85769449 euros |
04/11/2013 | 7,8587344 euros |
03/11/2013 | 7,85730359 euros |
02/11/2013 | 7,85690769 euros |
01/11/2013 | 7,85651179 euros |
31/10/2013 | 7,85611568 euros |
30/10/2013 | 7,8549117 euros |
29/10/2013 | 7,85503222 euros |
28/10/2013 | 7,85415038 euros |
27/10/2013 | 7,85400925 euros |
26/10/2013 | 7,85361268 euros |
25/10/2013 | 7,85321599 euros |
24/10/2013 | 7,85395186 euros |
23/10/2013 | 7,85484119 euros |
22/10/2013 | 7,85514285 euros |
21/10/2013 | 7,85425189 euros |
20/10/2013 | 7,85323179 euros |
19/10/2013 | 7,85281881 euros |
18/10/2013 | 7,85240577 euros |
17/10/2013 | 7,85168864 euros |
16/10/2013 | 7,85057336 euros |
15/10/2013 | 7,85051696 euros |
14/10/2013 | 7,84930474 euros |
13/10/2013 | 7,84908126 euros |
12/10/2013 | 7,84867396 euros |
11/10/2013 | 7,84826682 euros |
10/10/2013 | 7,84757276 euros |
09/10/2013 | 7,84687517 euros |
08/10/2013 | 7,84822415 euros |
07/10/2013 | 7,84888842 euros |
06/10/2013 | 7,84857286 euros |
05/10/2013 | 7,84817384 euros |
04/10/2013 | 7,84777403 euros |
03/10/2013 | 7,84659871 euros |
02/10/2013 | 7,84497091 euros |
01/10/2013 | 7,84437789 euros |
30/09/2013 | 7,84192349 euros |
29/09/2013 | 7,84167288 euros |