Fondo: CAIXABANK BONOS FLOTANTES 2025, FI CLASE PLUS
Fecha |
Valor liquidativo |
---|---|
23/12/2018 | 5,7326066 euros |
22/12/2018 | 5,7323827 euros |
21/12/2018 | 5,73215826 euros |
20/12/2018 | 5,74026378 euros |
19/12/2018 | 5,73552135 euros |
18/12/2018 | 5,72388103 euros |
17/12/2018 | 5,72448436 euros |
16/12/2018 | 5,72383547 euros |
15/12/2018 | 5,72361315 euros |
14/12/2018 | 5,72339053 euros |
13/12/2018 | 5,72580659 euros |
12/12/2018 | 5,71349411 euros |
11/12/2018 | 5,70147491 euros |
10/12/2018 | 5,70269267 euros |
09/12/2018 | 5,70038482 euros |
08/12/2018 | 5,70016413 euros |
07/12/2018 | 5,69994341 euros |
06/12/2018 | 5,71158511 euros |
05/12/2018 | 5,71136461 euros |
04/12/2018 | 5,70470536 euros |
03/12/2018 | 5,70657034 euros |
02/12/2018 | 5,69152828 euros |
01/12/2018 | 5,69130342 euros |
30/11/2018 | 5,69107856 euros |
29/11/2018 | 5,69394469 euros |
28/11/2018 | 5,69111369 euros |
27/11/2018 | 5,69444872 euros |
26/11/2018 | 5,70030484 euros |
25/11/2018 | 5,68496447 euros |
24/11/2018 | 5,68473915 euros |
23/11/2018 | 5,6845138 euros |
22/11/2018 | 5,68356681 euros |
21/11/2018 | 5,67072456 euros |
20/11/2018 | 5,6576141 euros |
19/11/2018 | 5,66753242 euros |
18/11/2018 | 5,67719839 euros |
17/11/2018 | 5,67697366 euros |
16/11/2018 | 5,67674888 euros |
15/11/2018 | 5,68065578 euros |
14/11/2018 | 5,68930556 euros |
13/11/2018 | 5,69624722 euros |
12/11/2018 | 5,69904982 euros |
11/11/2018 | 5,70508052 euros |
10/11/2018 | 5,70485675 euros |
09/11/2018 | 5,70463295 euros |
08/11/2018 | 5,70712279 euros |
07/11/2018 | 5,71154716 euros |
06/11/2018 | 5,70541762 euros |
05/11/2018 | 5,70926094 euros |
04/11/2018 | 5,70700246 euros |