
Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE ESTANDAR
Fecha |
Valor liquidativo |
---|---|
08/10/2021 | 7,67590785 euros |
07/10/2021 | 7,6760227 euros |
06/10/2021 | 7,67652743 euros |
05/10/2021 | 7,67663052 euros |
04/10/2021 | 7,67681129 euros |
03/10/2021 | 7,67677716 euros |
02/10/2021 | 7,67677447 euros |
01/10/2021 | 7,67677221 euros |
30/09/2021 | 7,67647072 euros |
29/09/2021 | 7,67688156 euros |
28/09/2021 | 7,67741176 euros |
27/09/2021 | 7,67761313 euros |
26/09/2021 | 7,67763085 euros |
25/09/2021 | 7,67764019 euros |
24/09/2021 | 7,67763298 euros |
23/09/2021 | 7,67776537 euros |
22/09/2021 | 7,67818369 euros |
21/09/2021 | 7,6782615 euros |
20/09/2021 | 7,67833254 euros |
19/09/2021 | 7,67851856 euros |
18/09/2021 | 7,67851134 euros |
17/09/2021 | 7,67850394 euros |
16/09/2021 | 7,67862443 euros |
15/09/2021 | 7,67893427 euros |
14/09/2021 | 7,67901366 euros |
13/09/2021 | 7,67902927 euros |
12/09/2021 | 7,67900971 euros |
11/09/2021 | 7,67900424 euros |
10/09/2021 | 7,67899849 euros |
09/09/2021 | 7,67910815 euros |
08/09/2021 | 7,67946164 euros |
07/09/2021 | 7,67956093 euros |
06/09/2021 | 7,67979957 euros |
05/09/2021 | 7,67980777 euros |
04/09/2021 | 7,67980103 euros |
03/09/2021 | 7,67979444 euros |
02/09/2021 | 7,67990584 euros |
01/09/2021 | 7,68027773 euros |
31/08/2021 | 7,6804059 euros |
30/08/2021 | 7,68054485 euros |
29/08/2021 | 7,68061032 euros |
28/08/2021 | 7,68060987 euros |
27/08/2021 | 7,68060972 euros |
26/08/2021 | 7,68076837 euros |
25/08/2021 | 7,68118667 euros |
24/08/2021 | 7,68164096 euros |
23/08/2021 | 7,68155041 euros |
22/08/2021 | 7,68159152 euros |
21/08/2021 | 7,68159081 euros |
20/08/2021 | 7,68159029 euros |