Fondos liquidativos

Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

04/08/2022 7,62391856 euros
03/08/2022 7,62341938 euros
02/08/2022 7,62320569 euros
01/08/2022 7,62386882 euros
31/07/2022 7,62294602 euros
30/07/2022 7,62294671 euros
29/07/2022 7,62294596 euros
28/07/2022 7,62293223 euros
27/07/2022 7,62188571 euros
26/07/2022 7,62222361 euros
25/07/2022 7,62248406 euros
24/07/2022 7,62196207 euros
23/07/2022 7,62196169 euros
22/07/2022 7,6219631 euros
21/07/2022 7,62056624 euros
20/07/2022 7,62262218 euros
19/07/2022 7,62225215 euros
18/07/2022 7,62280139 euros
17/07/2022 7,62295776 euros
16/07/2022 7,62296128 euros
15/07/2022 7,62249511 euros
14/07/2022 7,62273341 euros
13/07/2022 7,62464945 euros
12/07/2022 7,62650532 euros
11/07/2022 7,62637084 euros
10/07/2022 7,62633251 euros
09/07/2022 7,62633852 euros
08/07/2022 7,62634478 euros
07/07/2022 7,62691875 euros
06/07/2022 7,62538538 euros
05/07/2022 7,62479695 euros
04/07/2022 7,62465434 euros
03/07/2022 7,62678798 euros
02/07/2022 7,62678599 euros
01/07/2022 7,62678577 euros
30/06/2022 7,62379762 euros
29/06/2022 7,62276303 euros
28/06/2022 7,62189782 euros
27/06/2022 7,62315871 euros
26/06/2022 7,62422049 euros
25/06/2022 7,62416346 euros
24/06/2022 7,62410791 euros
23/06/2022 7,62461058 euros
22/06/2022 7,6220761 euros
21/06/2022 7,62159626 euros
20/06/2022 7,62149501 euros
19/06/2022 7,62177712 euros
18/06/2022 7,6217111 euros
17/06/2022 7,62164705 euros
16/06/2022 7,62053991 euros