Fondos liquidativos

Fondo: CAIXABANK RENTAS EURIBOR, FI

Fecha

Valor liquidativo

01/10/2021 6,23346708 euros
30/09/2021 6,22771267 euros
29/09/2021 6,22955976 euros
28/09/2021 6,22900815 euros
27/09/2021 6,2312733 euros
26/09/2021 6,23208177 euros
25/09/2021 6,23195963 euros
24/09/2021 6,23183581 euros
23/09/2021 6,23383981 euros
22/09/2021 6,24006555 euros
21/09/2021 6,24008031 euros
20/09/2021 6,23877192 euros
19/09/2021 6,23693035 euros
18/09/2021 6,23681266 euros
17/09/2021 6,23669235 euros
16/09/2021 6,23770547 euros
15/09/2021 6,2384956 euros
14/09/2021 6,24088183 euros
13/09/2021 6,24134081 euros
12/09/2021 6,24025122 euros
11/09/2021 6,24013196 euros
10/09/2021 6,24000959 euros
09/09/2021 6,2433624 euros
08/09/2021 6,24025397 euros
07/09/2021 6,23922215 euros
06/09/2021 6,24292169 euros
05/09/2021 6,24242696 euros
04/09/2021 6,24231595 euros
03/09/2021 6,24220314 euros
02/09/2021 6,2422707 euros
01/09/2021 6,24014032 euros
31/08/2021 6,2401907 euros
30/08/2021 6,24084948 euros
29/08/2021 6,24151052 euros
28/08/2021 6,24139941 euros
27/08/2021 6,24129055 euros
26/08/2021 6,23995938 euros
25/08/2021 6,24194694 euros
24/08/2021 6,24755488 euros
23/08/2021 6,24789661 euros
22/08/2021 6,25030001 euros
21/08/2021 6,25019462 euros
20/08/2021 6,25008975 euros
19/08/2021 6,24932562 euros
18/08/2021 6,25007943 euros
17/08/2021 6,24804886 euros
16/08/2021 6,2486861 euros
15/08/2021 6,24809331 euros
14/08/2021 6,24798669 euros
13/08/2021 6,2478786 euros