Fondo: CAIXABANK BONOS FLOTANTES 2025, FI CLASE PLUS
Fecha |
Valor liquidativo |
---|---|
27/01/2020 | 5,9007971 euros |
26/01/2020 | 5,89769467 euros |
25/01/2020 | 5,89747587 euros |
24/01/2020 | 5,89725705 euros |
23/01/2020 | 5,89696498 euros |
22/01/2020 | 5,89260261 euros |
21/01/2020 | 5,89374813 euros |
20/01/2020 | 5,89472566 euros |
19/01/2020 | 5,8923164 euros |
18/01/2020 | 5,89209416 euros |
17/01/2020 | 5,8918719 euros |
16/01/2020 | 5,89022077 euros |
15/01/2020 | 5,89328357 euros |
14/01/2020 | 5,89272774 euros |
13/01/2020 | 5,89199457 euros |
12/01/2020 | 5,89354432 euros |
11/01/2020 | 5,89332393 euros |
10/01/2020 | 5,89310352 euros |
09/01/2020 | 5,89160689 euros |
08/01/2020 | 5,89066045 euros |
07/01/2020 | 5,8913781 euros |
06/01/2020 | 5,89355613 euros |
05/01/2020 | 5,89451642 euros |
04/01/2020 | 5,89429746 euros |
03/01/2020 | 5,8940785 euros |
02/01/2020 | 5,89322641 euros |
01/01/2020 | 5,89570277 euros |
31/12/2019 | 5,89548481 euros |
30/12/2019 | 5,89530096 euros |
29/12/2019 | 5,89614861 euros |
28/12/2019 | 5,89593034 euros |
27/12/2019 | 5,89571188 euros |
26/12/2019 | 5,89335692 euros |
25/12/2019 | 5,89313918 euros |
24/12/2019 | 5,89292135 euros |
23/12/2019 | 5,89270893 euros |
22/12/2019 | 5,89370916 euros |
21/12/2019 | 5,89349202 euros |
20/12/2019 | 5,89327466 euros |
19/12/2019 | 5,89337228 euros |
18/12/2019 | 5,89526172 euros |
17/12/2019 | 5,89531511 euros |
16/12/2019 | 5,89421873 euros |
15/12/2019 | 5,89513139 euros |
14/12/2019 | 5,89491293 euros |
13/12/2019 | 5,89469444 euros |
12/12/2019 | 5,88979235 euros |
11/12/2019 | 5,89044975 euros |
10/12/2019 | 5,88817963 euros |
09/12/2019 | 5,88618772 euros |