
Fondo: CAIXABANK RENTAS EURIBOR, FI
Fecha |
Valor liquidativo |
---|---|
21/07/2016 | 5,94088493 euros |
20/07/2016 | 5,94088393 euros |
19/07/2016 | 5,94088293 euros |
18/07/2016 | 5,94088193 euros |
17/07/2016 | 5,94088093 euros |
16/07/2016 | 5,94086774 euros |
15/07/2016 | 5,94085512 euros |
14/07/2016 | 5,94084329 euros |
13/07/2016 | 5,94082845 euros |
12/07/2016 | 5,94081127 euros |
11/07/2016 | 5,94079411 euros |
10/07/2016 | 5,94078941 euros |
09/07/2016 | 5,9407845 euros |
08/07/2016 | 5,94078004 euros |
07/07/2016 | 5,94077591 euros |
06/07/2016 | 5,94077179 euros |
05/07/2016 | 5,94076772 euros |
04/07/2016 | 5,94076668 euros |
03/07/2016 | 5,94074527 euros |
02/07/2016 | 5,9407377 euros |
01/07/2016 | 5,94073024 euros |
30/06/2016 | 5,94072267 euros |
29/06/2016 | 5,94072153 euros |
28/06/2016 | 5,94072034 euros |
27/06/2016 | 5,940719 euros |
26/06/2016 | 5,94071145 euros |
25/06/2016 | 5,94070391 euros |
24/06/2016 | 5,94070267 euros |
23/06/2016 | 5,9407012 euros |
22/06/2016 | 5,9407626 euros |
21/06/2016 | 5,940824 euros |
20/06/2016 | 5,9408852 euros |