Fondos liquidativos

Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE PREMIUM

Fecha

Valor liquidativo

19/06/2019 7,85082005 euros
18/06/2019 7,8507544 euros
17/06/2019 7,84956824 euros
16/06/2019 7,8493582 euros
15/06/2019 7,84928059 euros
14/06/2019 7,84920111 euros
13/06/2019 7,84883018 euros
12/06/2019 7,84879964 euros
11/06/2019 7,84942532 euros
10/06/2019 7,84948191 euros
09/06/2019 7,84972922 euros
08/06/2019 7,84966438 euros
07/06/2019 7,84958589 euros
06/06/2019 7,84807228 euros
05/06/2019 7,84788775 euros
04/06/2019 7,84808893 euros
03/06/2019 7,84690465 euros
02/06/2019 7,84693366 euros
01/06/2019 7,84685832 euros
31/05/2019 7,84678455 euros
30/05/2019 7,84706963 euros
29/05/2019 7,84719558 euros
28/05/2019 7,84672367 euros
27/05/2019 7,84748255 euros
26/05/2019 7,84828171 euros
25/05/2019 7,84821137 euros
24/05/2019 7,84814081 euros
23/05/2019 7,84741547 euros
22/05/2019 7,84807966 euros
21/05/2019 7,84822241 euros
20/05/2019 7,84781277 euros
19/05/2019 7,8482946 euros
18/05/2019 7,84823266 euros
17/05/2019 7,84817037 euros
16/05/2019 7,84753608 euros
15/05/2019 7,84713502 euros
14/05/2019 7,84780459 euros
13/05/2019 7,84870251 euros
12/05/2019 7,84882487 euros
11/05/2019 7,84875754 euros
10/05/2019 7,84869049 euros
09/05/2019 7,84902308 euros
08/05/2019 7,85020426 euros
07/05/2019 7,85116912 euros
06/05/2019 7,85104979 euros
05/05/2019 7,85141974 euros
04/05/2019 7,85133974 euros
03/05/2019 7,85125976 euros
02/05/2019 7,85099757 euros
01/05/2019 7,85079778 euros