
Fondo: CAIXABANK RENTA FIJA ALTA CALIDAD CREDITICIA, FI CLASE ESTANDAR
Fecha |
Valor liquidativo |
---|---|
05/08/2019 | 9,76153094 euros |
04/08/2019 | 9,74806341 euros |
03/08/2019 | 9,74826946 euros |
02/08/2019 | 9,7484746 euros |
01/08/2019 | 9,72741434 euros |
31/07/2019 | 9,7074716 euros |
30/07/2019 | 9,68904417 euros |
29/07/2019 | 9,68534849 euros |
28/07/2019 | 9,67569488 euros |
27/07/2019 | 9,67589495 euros |
26/07/2019 | 9,67609613 euros |
25/07/2019 | 9,66968495 euros |
24/07/2019 | 9,67952394 euros |
23/07/2019 | 9,6649512 euros |
22/07/2019 | 9,65962724 euros |
21/07/2019 | 9,64827953 euros |
20/07/2019 | 9,64847879 euros |
19/07/2019 | 9,64867807 euros |
18/07/2019 | 9,64434709 euros |
17/07/2019 | 9,63671183 euros |
16/07/2019 | 9,61468463 euros |
15/07/2019 | 9,60871142 euros |
14/07/2019 | 9,58677925 euros |
13/07/2019 | 9,58697445 euros |
12/07/2019 | 9,58717013 euros |
11/07/2019 | 9,59206816 euros |
10/07/2019 | 9,62078377 euros |
09/07/2019 | 9,64522033 euros |
08/07/2019 | 9,65891351 euros |
07/07/2019 | 9,64955063 euros |
06/07/2019 | 9,6497444 euros |
05/07/2019 | 9,64993722 euros |
04/07/2019 | 9,67290242 euros |
03/07/2019 | 9,66372712 euros |
02/07/2019 | 9,6456092 euros |
01/07/2019 | 9,64537949 euros |
30/06/2019 | 9,63101436 euros |
29/06/2019 | 9,63120502 euros |
28/06/2019 | 9,63139912 euros |
27/06/2019 | 9,62709085 euros |
26/06/2019 | 9,62269632 euros |
25/06/2019 | 9,63501323 euros |
24/06/2019 | 9,62415728 euros |
23/06/2019 | 9,60759671 euros |
22/06/2019 | 9,60778166 euros |
21/06/2019 | 9,6079657 euros |
20/06/2019 | 9,63018347 euros |
19/06/2019 | 9,61023268 euros |
18/06/2019 | 9,63354582 euros |
17/06/2019 | 9,58485125 euros |