Fondos liquidativos

Fondo: CAIXABANK RENTAS EURIBOR, FI

Fecha

Valor liquidativo

30/03/2020 6,18123186 euros
29/03/2020 6,19025185 euros
28/03/2020 6,19009051 euros
27/03/2020 6,18992781 euros
26/03/2020 6,17111869 euros
25/03/2020 6,11840391 euros
24/03/2020 6,11910386 euros
23/03/2020 6,1512882 euros
22/03/2020 6,14515411 euros
21/03/2020 6,14497455 euros
20/03/2020 6,14479233 euros
19/03/2020 6,12008871 euros
18/03/2020 6,05426051 euros
17/03/2020 6,08117897 euros
16/03/2020 6,11636957 euros
15/03/2020 6,16495444 euros
14/03/2020 6,16478858 euros
13/03/2020 6,16462312 euros
12/03/2020 6,20275163 euros
11/03/2020 6,24545616 euros
10/03/2020 6,23102485 euros
09/03/2020 6,24615475 euros
08/03/2020 6,26466643 euros
07/03/2020 6,26453862 euros
06/03/2020 6,26441137 euros
05/03/2020 6,26899857 euros
04/03/2020 6,28497682 euros
03/03/2020 6,27301799 euros
02/03/2020 6,25124561 euros
01/03/2020 6,25294042 euros
29/02/2020 6,25280566 euros
28/02/2020 6,2526695 euros
27/02/2020 6,24869173 euros
26/02/2020 6,2703115 euros
25/02/2020 6,27503051 euros
24/02/2020 6,2755877 euros
23/02/2020 6,27310513 euros
22/02/2020 6,27297407 euros
21/02/2020 6,27284175 euros
20/02/2020 6,272255 euros
19/02/2020 6,26718361 euros
18/02/2020 6,2650675 euros
17/02/2020 6,26802882 euros
16/02/2020 6,26653399 euros
15/02/2020 6,26639869 euros
14/02/2020 6,2662672 euros
13/02/2020 6,26607339 euros
12/02/2020 6,26403058 euros
11/02/2020 6,26075844 euros
10/02/2020 6,26068234 euros