Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE PREMIUM
Fecha |
Valor liquidativo |
---|---|
13/08/2016 | 7,90317313 euros |
12/08/2016 | 7,90300605 euros |
11/08/2016 | 7,90288214 euros |
10/08/2016 | 7,90306997 euros |
09/08/2016 | 7,90270987 euros |
08/08/2016 | 7,90237864 euros |
07/08/2016 | 7,90227484 euros |
06/08/2016 | 7,90210229 euros |
05/08/2016 | 7,90194126 euros |
04/08/2016 | 7,90165464 euros |
03/08/2016 | 7,90162465 euros |
02/08/2016 | 7,90174799 euros |
01/08/2016 | 7,90188373 euros |
31/07/2016 | 7,90159501 euros |
30/07/2016 | 7,90150017 euros |
29/07/2016 | 7,90135326 euros |
28/07/2016 | 7,90111296 euros |
27/07/2016 | 7,90105537 euros |
26/07/2016 | 7,90111438 euros |
25/07/2016 | 7,90124005 euros |
24/07/2016 | 7,90075207 euros |
23/07/2016 | 7,90059977 euros |
22/07/2016 | 7,90043586 euros |
21/07/2016 | 7,90043909 euros |
20/07/2016 | 7,90087768 euros |
19/07/2016 | 7,90078092 euros |
18/07/2016 | 7,90102877 euros |
17/07/2016 | 7,90079198 euros |
16/07/2016 | 7,90063688 euros |
15/07/2016 | 7,90047012 euros |
14/07/2016 | 7,90039478 euros |
13/07/2016 | 7,90058047 euros |
12/07/2016 | 7,90041986 euros |
11/07/2016 | 7,9005634 euros |
10/07/2016 | 7,9004863 euros |
09/07/2016 | 7,90032391 euros |
08/07/2016 | 7,90016155 euros |
07/07/2016 | 7,90047715 euros |
06/07/2016 | 7,90134853 euros |
05/07/2016 | 7,90192164 euros |
04/07/2016 | 7,90221258 euros |
03/07/2016 | 7,90169974 euros |
02/07/2016 | 7,90152739 euros |
01/07/2016 | 7,90135504 euros |
30/06/2016 | 7,90019913 euros |
29/06/2016 | 7,90014865 euros |
28/06/2016 | 7,89951411 euros |
27/06/2016 | 7,8993427 euros |
26/06/2016 | 7,89964207 euros |
25/06/2016 | 7,8994816 euros |