
Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE INSTITUCIONAL
Fecha |
Valor liquidativo |
---|---|
12/07/2021 | 7,93009357 euros |
11/07/2021 | 7,93019372 euros |
10/07/2021 | 7,93016957 euros |
09/07/2021 | 7,93008068 euros |
08/07/2021 | 7,93008209 euros |
07/07/2021 | 7,93081186 euros |
06/07/2021 | 7,93082953 euros |
05/07/2021 | 7,93109118 euros |
04/07/2021 | 7,930936 euros |
03/07/2021 | 7,93091145 euros |
02/07/2021 | 7,93088608 euros |
01/07/2021 | 7,93080858 euros |
30/06/2021 | 7,93127449 euros |
29/06/2021 | 7,93126661 euros |
28/06/2021 | 7,93133584 euros |
27/06/2021 | 7,93134392 euros |
26/06/2021 | 7,93132018 euros |
25/06/2021 | 7,9312966 euros |
24/06/2021 | 7,93148654 euros |
23/06/2021 | 7,93187317 euros |
22/06/2021 | 7,93191877 euros |
21/06/2021 | 7,93204691 euros |
20/06/2021 | 7,93234119 euros |
19/06/2021 | 7,93232465 euros |
18/06/2021 | 7,93230845 euros |
17/06/2021 | 7,9325832 euros |
16/06/2021 | 7,9330187 euros |
15/06/2021 | 7,93290705 euros |
14/06/2021 | 7,93298182 euros |
13/06/2021 | 7,93311068 euros |
12/06/2021 | 7,93309256 euros |
11/06/2021 | 7,93307477 euros |
10/06/2021 | 7,93305909 euros |
09/06/2021 | 7,93336907 euros |
08/06/2021 | 7,93338189 euros |
07/06/2021 | 7,93356287 euros |
06/06/2021 | 7,93358937 euros |
05/06/2021 | 7,93356125 euros |
04/06/2021 | 7,93352017 euros |
03/06/2021 | 7,93352534 euros |
02/06/2021 | 7,93386091 euros |
01/06/2021 | 7,93391735 euros |
31/05/2021 | 7,93404564 euros |
30/05/2021 | 7,93405939 euros |
29/05/2021 | 7,93403374 euros |
28/05/2021 | 7,93400819 euros |
27/05/2021 | 7,93399972 euros |
26/05/2021 | 7,93444062 euros |
25/05/2021 | 7,93446969 euros |
24/05/2021 | 7,93456017 euros |