Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE INSTITUCIONAL
Fecha |
Valor liquidativo |
---|---|
27/03/2017 | 7,98002292 euros |
26/03/2017 | 7,98002065 euros |
25/03/2017 | 7,97986483 euros |
24/03/2017 | 7,97970871 euros |
23/03/2017 | 7,97993278 euros |
22/03/2017 | 7,98038655 euros |
21/03/2017 | 7,98036529 euros |
20/03/2017 | 7,98049512 euros |
19/03/2017 | 7,98045985 euros |
18/03/2017 | 7,98030813 euros |
17/03/2017 | 7,980208 euros |
16/03/2017 | 7,98025432 euros |
15/03/2017 | 7,98077754 euros |
14/03/2017 | 7,98042869 euros |
13/03/2017 | 7,98061296 euros |
12/03/2017 | 7,98074401 euros |
11/03/2017 | 7,98059042 euros |
10/03/2017 | 7,9804314 euros |
09/03/2017 | 7,98052197 euros |
08/03/2017 | 7,9810669 euros |
07/03/2017 | 7,98128945 euros |
06/03/2017 | 7,98094665 euros |
05/03/2017 | 7,98070422 euros |
04/03/2017 | 7,98054927 euros |
03/03/2017 | 7,98038963 euros |
02/03/2017 | 7,98030666 euros |
01/03/2017 | 7,98069349 euros |
28/02/2017 | 7,98086703 euros |
27/02/2017 | 7,9808833 euros |
26/02/2017 | 7,98070296 euros |
25/02/2017 | 7,98054863 euros |
24/02/2017 | 7,98039596 euros |
23/02/2017 | 7,98026054 euros |
22/02/2017 | 7,98069105 euros |
21/02/2017 | 7,98078373 euros |
20/02/2017 | 7,98076889 euros |
19/02/2017 | 7,98084255 euros |
18/02/2017 | 7,98069794 euros |
17/02/2017 | 7,98054889 euros |
16/02/2017 | 7,98069218 euros |
15/02/2017 | 7,98098462 euros |
14/02/2017 | 7,98095278 euros |
13/02/2017 | 7,98069935 euros |
12/02/2017 | 7,98063827 euros |
11/02/2017 | 7,98048687 euros |
10/02/2017 | 7,98033047 euros |
09/02/2017 | 7,98045089 euros |
08/02/2017 | 7,98092843 euros |
07/02/2017 | 7,98070968 euros |
06/02/2017 | 7,98076471 euros |