
Fondo: CAIXABANK RENTAS EURIBOR 2, FI
Fecha |
Valor liquidativo |
---|---|
05/12/2021 | 6,07946623 euros |
04/12/2021 | 6,07925574 euros |
03/12/2021 | 6,07904578 euros |
02/12/2021 | 6,07909224 euros |
01/12/2021 | 6,07759361 euros |
30/11/2021 | 6,08092709 euros |
29/11/2021 | 6,08118528 euros |
28/11/2021 | 6,0824439 euros |
27/11/2021 | 6,08223498 euros |
26/11/2021 | 6,08202649 euros |
25/11/2021 | 6,07853615 euros |
24/11/2021 | 6,07814531 euros |
23/11/2021 | 6,07821012 euros |
22/11/2021 | 6,07909251 euros |
21/11/2021 | 6,08073047 euros |
20/11/2021 | 6,08052145 euros |
19/11/2021 | 6,08031255 euros |
18/11/2021 | 6,07833104 euros |
17/11/2021 | 6,074009 euros |
16/11/2021 | 6,07738991 euros |
15/11/2021 | 6,07892233 euros |
14/11/2021 | 6,07652913 euros |
13/11/2021 | 6,07631469 euros |
12/11/2021 | 6,07609983 euros |
11/11/2021 | 6,0758448 euros |
10/11/2021 | 6,07679293 euros |
09/11/2021 | 6,07956276 euros |
08/11/2021 | 6,07839722 euros |
07/11/2021 | 6,07653307 euros |
06/11/2021 | 6,07631582 euros |
05/11/2021 | 6,07609878 euros |
04/11/2021 | 6,07295362 euros |
03/11/2021 | 6,07084053 euros |
02/11/2021 | 6,07379312 euros |
01/11/2021 | 6,07095738 euros |
31/10/2021 | 6,07073116 euros |
30/10/2021 | 6,07050494 euros |
29/10/2021 | 6,07027915 euros |
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 |