Fondos liquidativos

Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE REPARTO

Fecha

Valor liquidativo

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
01/05/2025 6,39143198 euros
30/04/2025 6,39120425 euros
29/04/2025 6,39080481 euros
28/04/2025 6,39041834 euros
27/04/2025 6,38990054 euros
26/04/2025 6,38966821 euros
25/04/2025 6,38943766 euros
24/04/2025 6,38920412 euros
23/04/2025 6,38845199 euros
22/04/2025 6,38818629 euros
21/04/2025 6,38767833 euros
20/04/2025 6,38743907 euros
19/04/2025 6,38719961 euros
18/04/2025 6,38695987 euros
17/04/2025 6,3867195 euros
16/04/2025 6,38549037 euros
15/04/2025 6,38482469 euros
14/04/2025 6,38437877 euros
13/04/2025 6,38395331 euros
12/04/2025 6,3837171 euros
11/04/2025 6,38348072 euros
10/04/2025 6,38311007 euros
09/04/2025 6,38250766 euros
08/04/2025 6,38251799 euros
07/04/2025 6,3821476 euros
06/04/2025 6,38218192 euros
05/04/2025 6,38194688 euros
04/04/2025 6,38171738 euros
03/04/2025 6,38167759 euros
02/04/2025 6,3811586 euros
01/04/2025 6,38095503 euros
31/03/2025 6,38034647 euros
30/03/2025 6,38025208 euros
29/03/2025 6,3800288 euros
28/03/2025 6,37980476 euros
27/03/2025 6,37927805 euros
26/03/2025 6,3785648 euros
25/03/2025 6,37820178 euros
24/03/2025 6,37785341 euros
23/03/2025 6,37744257 euros
22/03/2025 6,37721518 euros
21/03/2025 6,3769858 euros
20/03/2025 6,37661311 euros