Fondos liquidativos

Fondo: CAIXABANK RENTAS EURIBOR, FI

Fecha

Valor liquidativo

24/01/2025 6,58323241 euros
23/01/2025 6,58279267 euros
22/01/2025 6,58235441 euros
21/01/2025 6,58191674 euros
20/01/2025 6,58147823 euros
19/01/2025 6,58103625 euros
18/01/2025 6,58059742 euros
17/01/2025 6,58016153 euros
16/01/2025 6,57972326 euros
15/01/2025 6,579284 euros
14/01/2025 6,57884391 euros
13/01/2025 6,57840503 euros
12/01/2025 6,57796304 euros
11/01/2025 6,57752442 euros
10/01/2025 6,57708583 euros
09/01/2025 6,57664745 euros
08/01/2025 6,57620884 euros
07/01/2025 6,57577065 euros
06/01/2025 6,57549058 euros
05/01/2025 6,57505324 euros
04/01/2025 6,57461542 euros
03/01/2025 6,57417762 euros
02/01/2025 6,57374089 euros
01/01/2025 6,57329583 euros
31/12/2024 6,57285232 euros
30/12/2024 6,57245729 euros
29/12/2024 6,57201428 euros
28/12/2024 6,57157264 euros
27/12/2024 6,57112993 euros
26/12/2024 6,57072326 euros
25/12/2024 6,57028081 euros
24/12/2024 6,56983838 euros
23/12/2024 6,56939476 euros
22/12/2024 6,56895167 euros
21/12/2024 6,56850837 euros
20/12/2024 6,56806464 euros
19/12/2024 6,56762003 euros
18/12/2024 6,56714424 euros
17/12/2024 6,56666071 euros
16/12/2024 6,56617644 euros
15/12/2024 6,56569121 euros
14/12/2024 6,56520671 euros
13/12/2024 6,56472177 euros
12/12/2024 6,56423481 euros
11/12/2024 6,56375059 euros
10/12/2024 6,56326627 euros
09/12/2024 6,56322604 euros
08/12/2024 6,56274268 euros
07/12/2024 6,56225946 euros
06/12/2024 6,56177626 euros