Fondos liquidativos

Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE INSTITUCIONAL

Fecha

Valor liquidativo

05/12/2020 7,95010925 euros
04/12/2020 7,95004204 euros
03/12/2020 7,95040823 euros
02/12/2020 7,95050683 euros
01/12/2020 7,95018871 euros
30/11/2020 7,95039872 euros
29/11/2020 7,95054176 euros
28/11/2020 7,95048817 euros
27/11/2020 7,95043795 euros
26/11/2020 7,95043568 euros
25/11/2020 7,95069841 euros
24/11/2020 7,95070485 euros
23/11/2020 7,95062612 euros
22/11/2020 7,95061072 euros
21/11/2020 7,95055927 euros
20/11/2020 7,95051405 euros
19/11/2020 7,95059689 euros
18/11/2020 7,95096273 euros
17/11/2020 7,9510635 euros
16/11/2020 7,95098819 euros
15/11/2020 7,95075809 euros
14/11/2020 7,9507109 euros
13/11/2020 7,95066197 euros
12/11/2020 7,95066025 euros
11/11/2020 7,95098528 euros
10/11/2020 7,95076741 euros
09/11/2020 7,95076355 euros
08/11/2020 7,95059852 euros
07/11/2020 7,95054594 euros
06/11/2020 7,95049587 euros
05/11/2020 7,95035829 euros
04/11/2020 7,95007115 euros
03/11/2020 7,94981754 euros
02/11/2020 7,94969746 euros
01/11/2020 7,94977219 euros
31/10/2020 7,94972898 euros
30/10/2020 7,949674 euros
29/10/2020 7,94983061 euros
28/10/2020 7,94994787 euros
27/10/2020 7,95062828 euros
26/10/2020 7,95075907 euros
25/10/2020 7,95063827 euros
24/10/2020 7,95058325 euros
23/10/2020 7,9505278 euros
22/10/2020 7,95052127 euros
21/10/2020 7,95066484 euros
20/10/2020 7,95058231 euros
19/10/2020 7,95039856 euros
18/10/2020 7,9504392 euros
17/10/2020 7,95037973 euros