Fondos liquidativos

Fondo: CAIXABANK RENTAS EURIBOR, FI

Fecha

Valor liquidativo

07/09/2016 5,94093287 euros
06/09/2016 5,94093187 euros
05/09/2016 5,94093087 euros
04/09/2016 5,94092987 euros
03/09/2016 5,94092887 euros
02/09/2016 5,94092787 euros
01/09/2016 5,94092687 euros
31/08/2016 5,94092587 euros
30/08/2016 5,94092487 euros
29/08/2016 5,94092387 euros
28/08/2016 5,94092287 euros
27/08/2016 5,94092187 euros
26/08/2016 5,94092087 euros
25/08/2016 5,94091987 euros
24/08/2016 5,94091887 euros
23/08/2016 5,94091787 euros
22/08/2016 5,94091688 euros
21/08/2016 5,94091588 euros
20/08/2016 5,94091489 euros
19/08/2016 5,94091389 euros
18/08/2016 5,94091289 euros
17/08/2016 5,94091189 euros
16/08/2016 5,94091089 euros
15/08/2016 5,94090989 euros
14/08/2016 5,94090889 euros
13/08/2016 5,94090789 euros
12/08/2016 5,94090689 euros
11/08/2016 5,94090589 euros
10/08/2016 5,9409049 euros
09/08/2016 5,9409039 euros
08/08/2016 5,9409029 euros
07/08/2016 5,94090191 euros
06/08/2016 5,94090091 euros
05/08/2016 5,94089992 euros
04/08/2016 5,94089892 euros
03/08/2016 5,94089792 euros
02/08/2016 5,94089692 euros
01/08/2016 5,94089592 euros
31/07/2016 5,94089492 euros
30/07/2016 5,94089392 euros
29/07/2016 5,94089293 euros
28/07/2016 5,94089193 euros
27/07/2016 5,94089093 euros
26/07/2016 5,94088993 euros
25/07/2016 5,94088893 euros
24/07/2016 5,94088793 euros
23/07/2016 5,94088693 euros
22/07/2016 5,94088593 euros
21/07/2016 5,94088493 euros
20/07/2016 5,94088393 euros