Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE INSTITUCIONAL
Fecha |
Valor liquidativo |
---|---|
28/09/2018 | 7,94253824 euros |
27/09/2018 | 7,94280451 euros |
26/09/2018 | 7,94388398 euros |
25/09/2018 | 7,94329542 euros |
24/09/2018 | 7,94352827 euros |
23/09/2018 | 7,94398435 euros |
22/09/2018 | 7,94383559 euros |
21/09/2018 | 7,94368617 euros |
20/09/2018 | 7,94345916 euros |
19/09/2018 | 7,94393835 euros |
18/09/2018 | 7,94447776 euros |
17/09/2018 | 7,94406064 euros |
16/09/2018 | 7,94325128 euros |
15/09/2018 | 7,94310747 euros |
14/09/2018 | 7,9429636 euros |
13/09/2018 | 7,94320593 euros |
12/09/2018 | 7,94328716 euros |
11/09/2018 | 7,94347238 euros |
10/09/2018 | 7,94321922 euros |
09/09/2018 | 7,94265947 euros |
08/09/2018 | 7,94250714 euros |
07/09/2018 | 7,94228925 euros |
06/09/2018 | 7,94182647 euros |
05/09/2018 | 7,94207377 euros |
04/09/2018 | 7,9414319 euros |
03/09/2018 | 7,94017695 euros |
02/09/2018 | 7,94094882 euros |
01/09/2018 | 7,94080438 euros |
31/08/2018 | 7,94066 euros |
30/08/2018 | 7,94103086 euros |
29/08/2018 | 7,94263349 euros |
28/08/2018 | 7,94244044 euros |
27/08/2018 | 7,94280854 euros |
26/08/2018 | 7,94301855 euros |
25/08/2018 | 7,94288073 euros |
24/08/2018 | 7,94274294 euros |
23/08/2018 | 7,94319616 euros |
22/08/2018 | 7,94375127 euros |
21/08/2018 | 7,94382543 euros |
20/08/2018 | 7,94293113 euros |
19/08/2018 | 7,94279526 euros |
18/08/2018 | 7,94265688 euros |
17/08/2018 | 7,9425185 euros |
16/08/2018 | 7,9426142 euros |
15/08/2018 | 7,94377538 euros |
14/08/2018 | 7,94363865 euros |
13/08/2018 | 7,94346538 euros |
12/08/2018 | 7,94430194 euros |
11/08/2018 | 7,94416959 euros |
10/08/2018 | 7,9440357 euros |