Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE INSTITUCIONAL
Fecha |
Valor liquidativo |
---|---|
06/01/2019 | 7,93434192 euros |
05/01/2019 | 7,93420383 euros |
04/01/2019 | 7,93406575 euros |
03/01/2019 | 7,93409348 euros |
02/01/2019 | 7,93492222 euros |
01/01/2019 | 7,93497594 euros |
31/12/2018 | 7,93483883 euros |
30/12/2018 | 7,93471367 euros |
29/12/2018 | 7,93456936 euros |
28/12/2018 | 7,93440993 euros |
27/12/2018 | 7,93475754 euros |
26/12/2018 | 7,93563049 euros |
25/12/2018 | 7,93548339 euros |
24/12/2018 | 7,93533634 euros |
23/12/2018 | 7,93518909 euros |
22/12/2018 | 7,93506567 euros |
21/12/2018 | 7,9349145 euros |
20/12/2018 | 7,93532502 euros |
19/12/2018 | 7,93529656 euros |
18/12/2018 | 7,9346936 euros |
17/12/2018 | 7,93497952 euros |
16/12/2018 | 7,93512299 euros |
15/12/2018 | 7,9349961 euros |
14/12/2018 | 7,93486947 euros |
13/12/2018 | 7,93497012 euros |
12/12/2018 | 7,93459465 euros |
11/12/2018 | 7,93398741 euros |
10/12/2018 | 7,93462357 euros |
09/12/2018 | 7,93463168 euros |
08/12/2018 | 7,93451333 euros |
07/12/2018 | 7,93439506 euros |
06/12/2018 | 7,93600755 euros |
05/12/2018 | 7,93588975 euros |
04/12/2018 | 7,93598339 euros |
03/12/2018 | 7,93657412 euros |
02/12/2018 | 7,9358731 euros |
01/12/2018 | 7,93575983 euros |
30/11/2018 | 7,93564587 euros |
29/11/2018 | 7,93596992 euros |
28/11/2018 | 7,93630824 euros |
27/11/2018 | 7,93670232 euros |
26/11/2018 | 7,93745297 euros |
25/11/2018 | 7,93630511 euros |
24/11/2018 | 7,93619612 euros |
23/11/2018 | 7,9360959 euros |
22/11/2018 | 7,93560934 euros |
21/11/2018 | 7,9354168 euros |
20/11/2018 | 7,93502923 euros |
19/11/2018 | 7,93658562 euros |
18/11/2018 | 7,93762376 euros |