Fondo: CAIXABANK BONOS FLOTANTES 2025, FI CLASE PLUS
Fecha |
Valor liquidativo |
---|---|
02/04/2019 | 5,79869988 euros |
01/04/2019 | 5,80062528 euros |
31/03/2019 | 5,79911035 euros |
30/03/2019 | 5,7989094 euros |
29/03/2019 | 5,7986952 euros |
28/03/2019 | 5,79771753 euros |
27/03/2019 | 5,79914702 euros |
26/03/2019 | 5,80198676 euros |
25/03/2019 | 5,79768614 euros |
24/03/2019 | 5,8020983 euros |
23/03/2019 | 5,80188529 euros |
22/03/2019 | 5,80167216 euros |
21/03/2019 | 5,80706085 euros |
20/03/2019 | 5,80533661 euros |
19/03/2019 | 5,80685494 euros |
18/03/2019 | 5,80858442 euros |
17/03/2019 | 5,80198854 euros |
16/03/2019 | 5,80177703 euros |
15/03/2019 | 5,80156546 euros |
14/03/2019 | 5,80045096 euros |
13/03/2019 | 5,79062173 euros |
12/03/2019 | 5,79163076 euros |
11/03/2019 | 5,78956831 euros |
10/03/2019 | 5,79416698 euros |
09/03/2019 | 5,79395885 euros |
08/03/2019 | 5,79375063 euros |
07/03/2019 | 5,79497065 euros |
06/03/2019 | 5,78602987 euros |
05/03/2019 | 5,78254643 euros |
04/03/2019 | 5,77944199 euros |
03/03/2019 | 5,77938351 euros |
02/03/2019 | 5,77917778 euros |
01/03/2019 | 5,77897204 euros |
28/02/2019 | 5,77556118 euros |
27/02/2019 | 5,77167318 euros |
26/02/2019 | 5,77405318 euros |
25/02/2019 | 5,76614711 euros |
24/02/2019 | 5,75533555 euros |
23/02/2019 | 5,75511378 euros |
22/02/2019 | 5,75489201 euros |
21/02/2019 | 5,75764166 euros |
20/02/2019 | 5,75607164 euros |
19/02/2019 | 5,76240742 euros |
18/02/2019 | 5,76414803 euros |
17/02/2019 | 5,75576023 euros |
16/02/2019 | 5,75553908 euros |
15/02/2019 | 5,75531793 euros |
14/02/2019 | 5,75289143 euros |
13/02/2019 | 5,75273985 euros |
12/02/2019 | 5,743834 euros |