Fondos liquidativos

Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE INSTITUCIONAL

Fecha

Valor liquidativo

21/12/2019 7,94266256 euros
20/12/2019 7,94266311 euros
19/12/2019 7,94272328 euros
18/12/2019 7,94346818 euros
17/12/2019 7,94349471 euros
16/12/2019 7,94360677 euros
15/12/2019 7,94372071 euros
14/12/2019 7,94369027 euros
13/12/2019 7,94365914 euros
12/12/2019 7,94325775 euros
11/12/2019 7,9434469 euros
10/12/2019 7,94332536 euros
09/12/2019 7,94296005 euros
08/12/2019 7,94301711 euros
07/12/2019 7,94298733 euros
06/12/2019 7,9429581 euros
05/12/2019 7,94287649 euros
04/12/2019 7,94349081 euros
03/12/2019 7,9434907 euros
02/12/2019 7,94341956 euros
01/12/2019 7,94341641 euros
30/11/2019 7,94338666 euros
29/11/2019 7,94335096 euros
28/11/2019 7,94347954 euros
27/11/2019 7,94384927 euros
26/11/2019 7,94393278 euros
25/11/2019 7,94378009 euros
24/11/2019 7,94389366 euros
23/11/2019 7,94386415 euros
22/11/2019 7,94383518 euros
21/11/2019 7,94385952 euros
20/11/2019 7,94383182 euros
19/11/2019 7,94403367 euros
18/11/2019 7,94410236 euros
17/11/2019 7,94409943 euros
16/11/2019 7,94407078 euros
15/11/2019 7,94404311 euros
14/11/2019 7,94397262 euros
13/11/2019 7,94464774 euros
12/11/2019 7,94485089 euros
11/11/2019 7,94469714 euros
10/11/2019 7,94538742 euros
09/11/2019 7,94535343 euros
08/11/2019 7,94531059 euros
07/11/2019 7,94572781 euros
06/11/2019 7,94595458 euros
05/11/2019 7,94616894 euros
04/11/2019 7,94599185 euros
03/11/2019 7,94610831 euros
02/11/2019 7,94607525 euros