Fondo: CAIXABANK BONOS FLOTANTES 2025, FI CLASE PLUS
Fecha |
Valor liquidativo |
---|---|
30/08/2019 | 5,87510776 euros |
29/08/2019 | 5,87673176 euros |
28/08/2019 | 5,87201501 euros |
27/08/2019 | 5,86693645 euros |
26/08/2019 | 5,85916667 euros |
25/08/2019 | 5,86206748 euros |
24/08/2019 | 5,86184168 euros |
23/08/2019 | 5,86161588 euros |
22/08/2019 | 5,86029908 euros |
21/08/2019 | 5,85838084 euros |
20/08/2019 | 5,85519991 euros |
19/08/2019 | 5,85141985 euros |
18/08/2019 | 5,85004936 euros |
17/08/2019 | 5,84982368 euros |
16/08/2019 | 5,84959799 euros |
15/08/2019 | 5,85097246 euros |
14/08/2019 | 5,85074678 euros |
13/08/2019 | 5,84665222 euros |
12/08/2019 | 5,84181785 euros |
11/08/2019 | 5,83913117 euros |
10/08/2019 | 5,83890542 euros |
09/08/2019 | 5,83867964 euros |
08/08/2019 | 5,85718777 euros |
07/08/2019 | 5,86419243 euros |
06/08/2019 | 5,86190553 euros |
05/08/2019 | 5,86062857 euros |
04/08/2019 | 5,86483124 euros |
03/08/2019 | 5,8646059 euros |
02/08/2019 | 5,86438055 euros |
01/08/2019 | 5,8672865 euros |
31/07/2019 | 5,8685203 euros |
30/07/2019 | 5,86610485 euros |
29/07/2019 | 5,86912388 euros |
28/07/2019 | 5,86870817 euros |
27/07/2019 | 5,86848364 euros |
26/07/2019 | 5,86825906 euros |
25/07/2019 | 5,86926979 euros |
24/07/2019 | 5,87020545 euros |
23/07/2019 | 5,86305995 euros |
22/07/2019 | 5,85843444 euros |
21/07/2019 | 5,86114701 euros |
20/07/2019 | 5,8609241 euros |
19/07/2019 | 5,86070119 euros |
18/07/2019 | 5,86393418 euros |
17/07/2019 | 5,862732 euros |
16/07/2019 | 5,86217094 euros |
15/07/2019 | 5,85826818 euros |
14/07/2019 | 5,85391442 euros |
13/07/2019 | 5,85369242 euros |
12/07/2019 | 5,85347041 euros |