Fondos liquidativos

Fondo: CAIXABANK RENTA FIJA ALTA CALIDAD CREDITICIA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

21/06/2026 8,0949681 euros
20/06/2026 8,09486038 euros
19/06/2026 8,09475265 euros
18/06/2026 8,12279362 euros
17/06/2026 8,11932608 euros
16/06/2026 8,1143541 euros
15/06/2026 8,10909124 euros
14/06/2026 8,0881539 euros
13/06/2026 8,08804837 euros
12/06/2026 8,08794347 euros
11/06/2026 8,07436485 euros
10/06/2026 8,05482231 euros
09/06/2026 8,06258212 euros
08/06/2026 8,05805254 euros
07/06/2026 8,0682281 euros
06/06/2026 8,06812301 euros
05/06/2026 8,06801935 euros
04/06/2026 8,07733912 euros
03/06/2026 8,07193898 euros
02/06/2026 8,09706868 euros
01/06/2026 8,08385272 euros
31/05/2026 8,1207552 euros
30/05/2026 8,12065138 euros
29/05/2026 8,12054755 euros
28/05/2026 8,10569384 euros
27/05/2026 8,09401921 euros
26/05/2026 8,09386119 euros
25/05/2026 8,10982982 euros
24/05/2026 8,066253 euros
23/05/2026 8,06614765 euros
22/05/2026 8,06604227 euros
21/05/2026 8,04009203 euros
20/05/2026 8,0495226 euros
19/05/2026 8,00346974 euros
18/05/2026 8,01263814 euros
17/05/2026 8,01556804 euros
16/05/2026 8,01546164 euros
15/05/2026 8,01535615 euros
14/05/2026 8,05654795 euros
13/05/2026 8,03543482 euros
12/05/2026 8,03764918 euros
11/05/2026 8,06059568 euros
10/05/2026 8,07906116 euros
09/05/2026 8,07898612 euros
08/05/2026 8,07891857 euros
07/05/2026 8,08484269 euros
06/05/2026 8,08071006 euros
05/05/2026 8,04541956 euros
04/05/2026 8,04483745 euros
03/05/2026 8,061639 euros