
Fondo: CAIXABANK RENTAS EURIBOR 2, FI
Fecha |
Valor liquidativo |
---|---|
07/03/2020 | 6,08621682 euros |
06/03/2020 | 6,08599679 euros |
05/03/2020 | 6,09067191 euros |
04/03/2020 | 6,10538798 euros |
03/03/2020 | 6,09758165 euros |
02/03/2020 | 6,07812801 euros |
01/03/2020 | 6,07703059 euros |
29/02/2020 | 6,07680563 euros |
28/02/2020 | 6,07657893 euros |
27/02/2020 | 6,07342276 euros |
26/02/2020 | 6,09187403 euros |
25/02/2020 | 6,09592206 euros |
24/02/2020 | 6,09689583 euros |
23/02/2020 | 6,095323 euros |
22/02/2020 | 6,09510232 euros |
21/02/2020 | 6,09488332 euros |
20/02/2020 | 6,09443997 euros |
19/02/2020 | 6,08988575 euros |
18/02/2020 | 6,08925776 euros |
17/02/2020 | 6,0917052 euros |
16/02/2020 | 6,08942752 euros |
15/02/2020 | 6,08919524 euros |
14/02/2020 | 6,08896365 euros |
13/02/2020 | 6,08934252 euros |
12/02/2020 | 6,08869321 euros |
11/02/2020 | 6,08527971 euros |
10/02/2020 | 6,08408373 euros |
09/02/2020 | 6,08374363 euros |
08/02/2020 | 6,08351796 euros |
07/02/2020 | 6,08328975 euros |
06/02/2020 | 6,08381278 euros |
05/02/2020 | 6,08575568 euros |
04/02/2020 | 6,08816901 euros |
03/02/2020 | 6,08831141 euros |
02/02/2020 | 6,09225555 euros |
01/02/2020 | 6,09203049 euros |
31/01/2020 | 6,09180648 euros |
30/01/2020 | 6,08655179 euros |
29/01/2020 | 6,08517266 euros |
28/01/2020 | 6,08416405 euros |
27/01/2020 | 6,08620052 euros |
26/01/2020 | 6,07839462 euros |
25/01/2020 | 6,07816097 euros |
24/01/2020 | 6,07792519 euros |
23/01/2020 | 6,07498008 euros |
22/01/2020 | 6,07203323 euros |
21/01/2020 | 6,07258969 euros |
20/01/2020 | 6,06925652 euros |
19/01/2020 | 6,06634904 euros |
18/01/2020 | 6,06610493 euros |