
Fondo: CAIXABANK RENTAS EURIBOR 2, FI
Fecha |
Valor liquidativo |
---|---|
28/10/2021 | 6,07153988 euros |
27/10/2021 | 6,07228879 euros |
26/10/2021 | 6,07186961 euros |
25/10/2021 | 6,07121205 euros |
24/10/2021 | 6,0693849 euros |
23/10/2021 | 6,06916245 euros |
22/10/2021 | 6,06894057 euros |
21/10/2021 | 6,06767725 euros |
20/10/2021 | 6,06875625 euros |
19/10/2021 | 6,0663552 euros |
18/10/2021 | 6,06928919 euros |
17/10/2021 | 6,07468649 euros |
16/10/2021 | 6,07446372 euros |
15/10/2021 | 6,07424152 euros |
14/10/2021 | 6,07455278 euros |
13/10/2021 | 6,07345206 euros |
12/10/2021 | 6,07399362 euros |
11/10/2021 | 6,07426662 euros |
10/10/2021 | 6,07572415 euros |
09/10/2021 | 6,07550659 euros |
08/10/2021 | 6,07529002 euros |
07/10/2021 | 6,07603065 euros |
06/10/2021 | 6,07672066 euros |
05/10/2021 | 6,0784589 euros |
04/10/2021 | 6,07871768 euros |
03/10/2021 | 6,07871831 euros |
02/10/2021 | 6,07850265 euros |
01/10/2021 | 6,07828642 euros |
30/09/2021 | 6,07539234 euros |
29/09/2021 | 6,07716724 euros |
28/09/2021 | 6,07631989 euros |
27/09/2021 | 6,07811935 euros |
26/09/2021 | 6,07880334 euros |
25/09/2021 | 6,07858712 euros |
24/09/2021 | 6,07837179 euros |
23/09/2021 | 6,08072023 euros |
22/09/2021 | 6,08543305 euros |
21/09/2021 | 6,08604977 euros |
20/09/2021 | 6,08488954 euros |
19/09/2021 | 6,08433157 euros |
18/09/2021 | 6,08411876 euros |
17/09/2021 | 6,08390633 euros |
16/09/2021 | 6,08496653 euros |
15/09/2021 | 6,08526096 euros |
14/09/2021 | 6,08751302 euros |
13/09/2021 | 6,08894678 euros |
12/09/2021 | 6,08811803 euros |
11/09/2021 | 6,08790654 euros |
10/09/2021 | 6,08769474 euros |
09/09/2021 | 6,08963981 euros |