Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE INSTITUCIONAL
Fecha |
Valor liquidativo |
---|---|
09/07/2020 | 7,94154214 euros |
08/07/2020 | 7,9417065 euros |
07/07/2020 | 7,9415657 euros |
06/07/2020 | 7,94124046 euros |
05/07/2020 | 7,94007813 euros |
04/07/2020 | 7,94000428 euros |
03/07/2020 | 7,93993087 euros |
02/07/2020 | 7,94003921 euros |
01/07/2020 | 7,93965112 euros |
30/06/2020 | 7,93921874 euros |
29/06/2020 | 7,93914808 euros |
28/06/2020 | 7,93865627 euros |
27/06/2020 | 7,93857662 euros |
26/06/2020 | 7,93849724 euros |
25/06/2020 | 7,93842383 euros |
24/06/2020 | 7,93893805 euros |
23/06/2020 | 7,93889825 euros |
22/06/2020 | 7,93847169 euros |
21/06/2020 | 7,9384259 euros |
20/06/2020 | 7,9383493 euros |
19/06/2020 | 7,93827303 euros |
18/06/2020 | 7,9383626 euros |
17/06/2020 | 7,94249497 euros |
16/06/2020 | 7,94196515 euros |
15/06/2020 | 7,93933316 euros |
14/06/2020 | 7,9385483 euros |
13/06/2020 | 7,93846116 euros |
12/06/2020 | 7,93837444 euros |
11/06/2020 | 7,93904457 euros |
10/06/2020 | 7,93939458 euros |
09/06/2020 | 7,93930126 euros |
08/06/2020 | 7,93949563 euros |
07/06/2020 | 7,93729723 euros |
06/06/2020 | 7,93721409 euros |
05/06/2020 | 7,93713132 euros |
04/06/2020 | 7,93463692 euros |
03/06/2020 | 7,93262075 euros |
02/06/2020 | 7,9310754 euros |
01/06/2020 | 7,92959088 euros |
31/05/2020 | 7,92832199 euros |
30/05/2020 | 7,92823922 euros |
29/05/2020 | 7,92815546 euros |
28/05/2020 | 7,92786211 euros |
27/05/2020 | 7,92586326 euros |
26/05/2020 | 7,92406959 euros |
25/05/2020 | 7,92341579 euros |
24/05/2020 | 7,92335671 euros |
23/05/2020 | 7,923281 euros |
22/05/2020 | 7,92320673 euros |
21/05/2020 | 7,92181183 euros |