Fondos liquidativos

Fons: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE PLUS

Data

Valor liquidatiu

11/05/2014 7,83829141 euros
10/05/2014 7,83791526 euros
09/05/2014 7,8375387 euros
08/05/2014 7,83771643 euros
07/05/2014 7,83709491 euros
06/05/2014 7,83793707 euros
05/05/2014 7,83757494 euros
04/05/2014 7,83762755 euros
03/05/2014 7,83723373 euros
02/05/2014 7,83683976 euros
01/05/2014 7,83679154 euros
30/04/2014 7,83639807 euros
29/04/2014 7,83613827 euros
28/04/2014 7,83642233 euros
27/04/2014 7,83687287 euros
26/04/2014 7,83647435 euros
25/04/2014 7,83607588 euros
24/04/2014 7,83624179 euros
23/04/2014 7,83665075 euros
22/04/2014 7,83764798 euros
21/04/2014 7,83763639 euros
20/04/2014 7,83723772 euros
19/04/2014 7,83683905 euros
18/04/2014 7,83644017 euros
17/04/2014 7,83603928 euros
16/04/2014 7,83631674 euros
15/04/2014 7,83638007 euros
14/04/2014 7,83735285 euros
13/04/2014 7,83710031 euros
12/04/2014 7,83670494 euros
11/04/2014 7,8363094 euros
10/04/2014 7,83698694 euros
09/04/2014 7,83673985 euros
08/04/2014 7,83747288 euros
07/04/2014 7,83743137 euros
06/04/2014 7,83730337 euros
05/04/2014 7,83691853 euros
04/04/2014 7,83653092 euros
03/04/2014 7,83605889 euros
02/04/2014 7,83566711 euros
01/04/2014 7,83655294 euros
31/03/2014 7,83633675 euros
30/03/2014 7,8365026 euros
29/03/2014 7,83609308 euros
28/03/2014 7,83568321 euros
27/03/2014 7,83581323 euros
26/03/2014 7,83557837 euros
25/03/2014 7,83599176 euros
24/03/2014 7,83564358 euros
23/03/2014 7,83555285 euros