Fondos liquidativos

Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE REPARTO

Fecha

Valor liquidativo

20/06/2025 6,40596076 euros
19/06/2025 6,40561969 euros
18/06/2025 6,40531038 euros
17/06/2025 6,40497784 euros
16/06/2025 6,40485337 euros
15/06/2025 6,40444694 euros
14/06/2025 6,40423099 euros
13/06/2025 6,40401459 euros
12/06/2025 6,40399637 euros
11/06/2025 6,40373058 euros
10/06/2025 6,40336403 euros
09/06/2025 6,4029114 euros
08/06/2025 6,40255427 euros
07/06/2025 6,4023259 euros
06/06/2025 6,40209724 euros
05/06/2025 6,40175319 euros
04/06/2025 6,40183745 euros
03/06/2025 6,40153624 euros
02/06/2025 6,40111133 euros
01/06/2025 6,40081082 euros
31/05/2025 6,4005814 euros
30/05/2025 6,40035551 euros
29/05/2025 6,40014579 euros
28/05/2025 6,3996358 euros
27/05/2025 6,39930605 euros
26/05/2025 6,39880521 euros
25/05/2025 6,39859321 euros
24/05/2025 6,39836857 euros
23/05/2025 6,3981463 euros
22/05/2025 6,39748963 euros
21/05/2025 6,39711204 euros
20/05/2025 6,39690327 euros
19/05/2025 6,39653341 euros
18/05/2025 6,39614151 euros
17/05/2025 6,39600119 euros
16/05/2025 6,39577416 euros
15/05/2025 6,39525719 euros
14/05/2025 6,39466768 euros
13/05/2025 6,39445458 euros
12/05/2025 6,3939795 euros
11/05/2025 6,39412029 euros
10/05/2025 6,39389548 euros
09/05/2025 6,39358804 euros
08/05/2025 6,39344455 euros
07/05/2025 6,39316329 euros
06/05/2025 6,3927847 euros
05/05/2025 6,39247082 euros
04/05/2025 6,39210041 euros
03/05/2025 6,39187499 euros
02/05/2025 6,39164937 euros