Fondo: CAIXABANK BONOS FLOTANTES 2025, FI CLASE PLUS
Fecha |
Valor liquidativo |
---|---|
26/07/2018 | 5,76792362 euros |
25/07/2018 | 5,76853399 euros |
24/07/2018 | 5,76722567 euros |
23/07/2018 | 5,76906336 euros |
22/07/2018 | 5,770335 euros |
21/07/2018 | 5,77010833 euros |
20/07/2018 | 5,76988164 euros |
19/07/2018 | 5,77621538 euros |
18/07/2018 | 5,7739928 euros |
17/07/2018 | 5,77827949 euros |
16/07/2018 | 5,77024975 euros |
15/07/2018 | 5,76801278 euros |
14/07/2018 | 5,76777868 euros |
13/07/2018 | 5,76754452 euros |
12/07/2018 | 5,75876238 euros |
11/07/2018 | 5,75425084 euros |
10/07/2018 | 5,7564702 euros |
09/07/2018 | 5,7541939 euros |
08/07/2018 | 5,7488318 euros |
07/07/2018 | 5,74860137 euros |
06/07/2018 | 5,74837093 euros |
05/07/2018 | 5,74765933 euros |
04/07/2018 | 5,75777401 euros |
03/07/2018 | 5,75712875 euros |
02/07/2018 | 5,75774863 euros |
01/07/2018 | 5,75481566 euros |
30/06/2018 | 5,75458029 euros |
29/06/2018 | 5,75434225 euros |
28/06/2018 | 5,74186142 euros |
27/06/2018 | 5,74388659 euros |
26/06/2018 | 5,73348634 euros |
25/06/2018 | 5,74468377 euros |
24/06/2018 | 5,75626999 euros |
23/06/2018 | 5,75603057 euros |
22/06/2018 | 5,7557918 euros |
21/06/2018 | 5,7573201 euros |
20/06/2018 | 5,78708302 euros |
19/06/2018 | 5,78533198 euros |
18/06/2018 | 5,7897357 euros |
17/06/2018 | 5,78385689 euros |
16/06/2018 | 5,78362229 euros |
15/06/2018 | 5,78338756 euros |
14/06/2018 | 5,76762297 euros |
13/06/2018 | 5,7574096 euros |
12/06/2018 | 5,74901174 euros |
11/06/2018 | 5,74832223 euros |
10/06/2018 | 5,71357294 euros |
09/06/2018 | 5,71333936 euros |
08/06/2018 | 5,71310565 euros |
07/06/2018 | 5,73927313 euros |