Fondos liquidativos

Fons: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE ESTANDAR

Data

Valor liquidatiu

09/08/2025 8,11468946 euros
08/08/2025 8,114456 euros
07/08/2025 8,11438812 euros
06/08/2025 8,11405868 euros
05/08/2025 8,11377306 euros
04/08/2025 8,1136728 euros
03/08/2025 8,11322285 euros
02/08/2025 8,1129936 euros
01/08/2025 8,11276363 euros
31/07/2025 8,11254109 euros
30/07/2025 8,1122217 euros
29/07/2025 8,11194263 euros
28/07/2025 8,11178003 euros
27/07/2025 8,1114145 euros
26/07/2025 8,1111821 euros
25/07/2025 8,11094955 euros
24/07/2025 8,11079814 euros
23/07/2025 8,11089201 euros
22/07/2025 8,110542 euros
21/07/2025 8,11006363 euros
20/07/2025 8,10950333 euros
19/07/2025 8,10927172 euros
18/07/2025 8,10904039 euros
17/07/2025 8,10870834 euros
16/07/2025 8,10835959 euros
15/07/2025 8,10801794 euros
14/07/2025 8,10729305 euros
13/07/2025 8,1068123 euros
12/07/2025 8,10658022 euros
11/07/2025 8,10634803 euros
10/07/2025 8,1062991 euros
09/07/2025 8,10614295 euros
08/07/2025 8,10577622 euros
07/07/2025 8,10565472 euros
06/07/2025 8,10527807 euros
05/07/2025 8,10504419 euros
04/07/2025 8,10480935 euros
03/07/2025 8,10445483 euros
02/07/2025 8,1037117 euros
01/07/2025 8,10328602 euros
30/06/2025 8,10287537 euros
29/06/2025 8,10241145 euros
28/06/2025 8,10217311 euros
27/06/2025 8,10193678 euros
26/06/2025 8,10164857 euros
25/06/2025 8,10102096 euros
24/06/2025 8,10057414 euros
23/06/2025 8,09987883 euros
22/06/2025 8,09960191 euros
21/06/2025 8,09936521 euros