Fondos liquidativos

Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE PREMIUM

Fecha

Valor liquidativo

28/07/2024 8,14002117 euros
27/07/2024 8,13956845 euros
26/07/2024 8,13911386 euros
25/07/2024 8,13821099 euros
24/07/2024 8,13680391 euros
23/07/2024 8,13586154 euros
22/07/2024 8,13480864 euros
21/07/2024 8,13419452 euros
20/07/2024 8,13373956 euros
19/07/2024 8,13328335 euros
18/07/2024 8,13269562 euros
17/07/2024 8,13128911 euros
16/07/2024 8,13059682 euros
15/07/2024 8,12978992 euros
14/07/2024 8,12889715 euros
13/07/2024 8,1284584 euros
12/07/2024 8,12801813 euros
11/07/2024 8,12735696 euros
10/07/2024 8,12552716 euros
09/07/2024 8,12462469 euros
08/07/2024 8,1240236 euros
07/07/2024 8,12323122 euros
06/07/2024 8,12278053 euros
05/07/2024 8,12232425 euros
04/07/2024 8,12127325 euros
03/07/2024 8,12007889 euros
02/07/2024 8,11903938 euros
01/07/2024 8,1183171 euros
30/06/2024 8,11742226 euros
29/06/2024 8,11697202 euros
28/06/2024 8,11651926 euros
27/06/2024 8,11579571 euros
26/06/2024 8,11460977 euros
25/06/2024 8,11391419 euros
24/06/2024 8,11318006 euros
23/06/2024 8,11242689 euros
22/06/2024 8,11197463 euros
21/06/2024 8,11152883 euros
20/06/2024 8,11054124 euros
19/06/2024 8,1091966 euros
18/06/2024 8,10862227 euros
17/06/2024 8,107534 euros
16/06/2024 8,10705157 euros
15/06/2024 8,10660871 euros
14/06/2024 8,10616349 euros
13/06/2024 8,10581735 euros
12/06/2024 8,10452646 euros
11/06/2024 8,10342368 euros
10/06/2024 8,10251427 euros
09/06/2024 8,10177559 euros