Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE INSTITUCIONAL
Fecha |
Valor liquidativo |
---|---|
21/01/2018 | 7,96720577 euros |
20/01/2018 | 7,96700727 euros |
19/01/2018 | 7,96681536 euros |
18/01/2018 | 7,96673503 euros |
17/01/2018 | 7,96730135 euros |
16/01/2018 | 7,96744133 euros |
15/01/2018 | 7,967583 euros |
14/01/2018 | 7,96768309 euros |
13/01/2018 | 7,96748303 euros |
12/01/2018 | 7,96728294 euros |
11/01/2018 | 7,96723669 euros |
10/01/2018 | 7,96794778 euros |
09/01/2018 | 7,96801752 euros |
08/01/2018 | 7,96797683 euros |
07/01/2018 | 7,96792233 euros |
06/01/2018 | 7,96772949 euros |
05/01/2018 | 7,96753663 euros |
04/01/2018 | 7,96765552 euros |
03/01/2018 | 7,96834847 euros |
02/01/2018 | 7,9681889 euros |
01/01/2018 | 7,96841378 euros |
31/12/2017 | 7,96822341 euros |
30/12/2017 | 7,96805833 euros |
29/12/2017 | 7,96787612 euros |
28/12/2017 | 7,96822802 euros |
27/12/2017 | 7,96922183 euros |
26/12/2017 | 7,96916433 euros |
25/12/2017 | 7,96897642 euros |
24/12/2017 | 7,96878845 euros |
23/12/2017 | 7,96860041 euros |
22/12/2017 | 7,96841159 euros |
21/12/2017 | 7,96858011 euros |
20/12/2017 | 7,9698123 euros |
19/12/2017 | 7,96987986 euros |
18/12/2017 | 7,96995018 euros |
17/12/2017 | 7,96987159 euros |
16/12/2017 | 7,96967925 euros |
15/12/2017 | 7,96947072 euros |
14/12/2017 | 7,96946774 euros |
13/12/2017 | 7,9698703 euros |
12/12/2017 | 7,97012651 euros |
11/12/2017 | 7,97008466 euros |
10/12/2017 | 7,97034476 euros |
09/12/2017 | 7,97015038 euros |
08/12/2017 | 7,96995592 euros |
07/12/2017 | 7,96976401 euros |
06/12/2017 | 7,9704157 euros |
05/12/2017 | 7,97023796 euros |
04/12/2017 | 7,97053084 euros |
03/12/2017 | 7,97067422 euros |