Fondos liquidativos

Fondo: CAIXABANK RENTAS EURIBOR 2, FI

Fecha

Valor liquidativo

09/08/2017 5,96439078 euros
08/08/2017 5,96669829 euros
07/08/2017 5,96056039 euros
06/08/2017 5,95473601 euros
05/08/2017 5,95439551 euros
04/08/2017 5,95405557 euros
03/08/2017 5,95898174 euros
02/08/2017 5,96063248 euros
01/08/2017 5,96082368 euros
31/07/2017 5,95852754 euros
30/07/2017 5,93897512 euros
29/07/2017 5,93863079 euros
28/07/2017 5,93828452 euros
27/07/2017 5,94691194 euros
26/07/2017 5,93576668 euros
25/07/2017 5,93136729 euros
24/07/2017 5,94006061 euros
23/07/2017 5,94717784 euros
22/07/2017 5,94683945 euros
21/07/2017 5,94650552 euros
20/07/2017 5,95042975 euros
19/07/2017 5,93406363 euros
18/07/2017 5,93588254 euros
17/07/2017 5,92441319 euros
16/07/2017 5,9083497 euros
15/07/2017 5,9079905 euros
14/07/2017 5,9076331 euros
13/07/2017 5,89775823 euros
12/07/2017 5,91121609 euros
11/07/2017 5,8965911 euros
10/07/2017 5,90009992 euros
09/07/2017 5,89189637 euros
08/07/2017 5,89154135 euros
07/07/2017 5,89118441 euros
06/07/2017 5,9001069 euros
05/07/2017 5,92453196 euros
04/07/2017 5,930832 euros
03/07/2017 5,93582248 euros
02/07/2017 5,92616966 euros
01/07/2017 5,92582147 euros
30/06/2017 5,92546884 euros
29/06/2017 5,92445502 euros
28/06/2017 5,94888085 euros
27/06/2017 5,93896074 euros
26/06/2017 5,95377854 euros
25/06/2017 5,95456158 euros
24/06/2017 5,95422155 euros
23/06/2017 5,95388447 euros
22/06/2017 5,95666887 euros
21/06/2017 5,95896404 euros