Fondos liquidativos

Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE INSTITUCIONAL

Fecha

Valor liquidativo

09/01/2022 7,91210291 euros
08/01/2022 7,91206935 euros
07/01/2022 7,91203798 euros
06/01/2022 7,91228376 euros
05/01/2022 7,91266044 euros
04/01/2022 7,91264046 euros
03/01/2022 7,91252714 euros
02/01/2022 7,91309607 euros
01/01/2022 7,91307835 euros
31/12/2021 7,91305198 euros
30/12/2021 7,91495444 euros
29/12/2021 7,91394685 euros
28/12/2021 7,91333585 euros
27/12/2021 7,91310718 euros
26/12/2021 7,91340548 euros
25/12/2021 7,9133682 euros
24/12/2021 7,913333 euros
23/12/2021 7,9132552 euros
22/12/2021 7,9138517 euros
21/12/2021 7,91382641 euros
20/12/2021 7,91370972 euros
19/12/2021 7,91381919 euros
18/12/2021 7,91378088 euros
17/12/2021 7,91374532 euros
16/12/2021 7,91400936 euros
15/12/2021 7,91491042 euros
14/12/2021 7,91525045 euros
13/12/2021 7,91528229 euros
12/12/2021 7,91531725 euros
11/12/2021 7,91527818 euros
10/12/2021 7,91524379 euros
09/12/2021 7,91521587 euros
08/12/2021 7,91528594 euros
07/12/2021 7,9157376 euros
06/12/2021 7,91557053 euros
05/12/2021 7,91579301 euros
04/12/2021 7,91573635 euros
03/12/2021 7,91569702 euros
02/12/2021 7,91559411 euros
01/12/2021 7,91588043 euros
30/11/2021 7,9158735 euros
29/11/2021 7,91610155 euros
28/11/2021 7,9165741 euros
27/11/2021 7,91653244 euros
26/11/2021 7,91649217 euros
25/11/2021 7,91698481 euros
24/11/2021 7,91765159 euros
23/11/2021 7,91760308 euros
22/11/2021 7,91796571 euros
21/11/2021 7,91822329 euros