
Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE REPARTO
Fecha |
Valor liquidativo |
---|---|
31/08/2024 | 6,28803523 euros |
30/08/2024 | 6,28776612 euros |
29/08/2024 | 6,28734319 euros |
28/08/2024 | 6,2864029 euros |
27/08/2024 | 6,28588093 euros |
26/08/2024 | 6,28548715 euros |
25/08/2024 | 6,28490991 euros |
24/08/2024 | 6,28463247 euros |
23/08/2024 | 6,2843543 euros |
22/08/2024 | 6,28366872 euros |
21/08/2024 | 6,28276628 euros |
20/08/2024 | 6,28219812 euros |
19/08/2024 | 6,28157896 euros |
18/08/2024 | 6,28093571 euros |
17/08/2024 | 6,28066324 euros |
16/08/2024 | 6,28039037 euros |
15/08/2024 | 6,27937341 euros |
14/08/2024 | 6,27909091 euros |
13/08/2024 | 6,27845562 euros |
12/08/2024 | 6,27785104 euros |
11/08/2024 | 6,27721832 euros |
10/08/2024 | 6,27693796 euros |
09/08/2024 | 6,27665732 euros |
08/08/2024 | 6,27603382 euros |
07/08/2024 | 6,27513779 euros |
06/08/2024 | 6,27461144 euros |
05/08/2024 | 6,27379097 euros |
04/08/2024 | 6,27397145 euros |
03/08/2024 | 6,27368484 euros |
02/08/2024 | 6,27339684 euros |
01/08/2024 | 6,27277433 euros |
31/07/2024 | 6,27167261 euros |
30/07/2024 | 6,271085 euros |
29/07/2024 | 6,27050532 euros |
28/07/2024 | 6,26984009 euros |
27/07/2024 | 6,26955259 euros |
26/07/2024 | 6,2692636 euros |
25/07/2024 | 6,26862937 euros |
24/07/2024 | 6,26760668 euros |
23/07/2024 | 6,26694192 euros |
22/07/2024 | 6,26619203 euros |
21/07/2024 | 6,26578014 euros |
20/07/2024 | 6,26549085 euros |
19/07/2024 | 6,26520056 euros |
18/07/2024 | 6,26480897 euros |
17/07/2024 | 6,26378662 euros |
16/07/2024 | 6,26331448 euros |
15/07/2024 | 6,26275401 euros |
14/07/2024 | 6,2621274 euros |
13/07/2024 | 6,26185054 euros |