
Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE PLATINUM
Fecha |
Valor liquidativo |
---|---|
12/03/2017 | 7,96577858 euros |
11/03/2017 | 7,96564711 euros |
10/03/2017 | 7,96551028 euros |
09/03/2017 | 7,96562444 euros |
08/03/2017 | 7,96619007 euros |
07/03/2017 | 7,96643359 euros |
06/03/2017 | 7,96611293 euros |
05/03/2017 | 7,96589278 euros |
04/03/2017 | 7,96575994 euros |
03/03/2017 | 7,96562666 euros |
02/03/2017 | 7,96556543 euros |
01/03/2017 | 7,9659741 euros |
28/02/2017 | 7,96616935 euros |
27/02/2017 | 7,96620739 euros |
26/02/2017 | 7,96604921 euros |
25/02/2017 | 7,96591698 euros |
24/02/2017 | 7,96578466 euros |
23/02/2017 | 7,96566943 euros |
22/02/2017 | 7,96612077 euros |
21/02/2017 | 7,96623477 euros |
20/02/2017 | 7,96624172 euros |
19/02/2017 | 7,96633607 euros |
18/02/2017 | 7,96621284 euros |
17/02/2017 | 7,96608557 euros |
16/02/2017 | 7,96624981 euros |
15/02/2017 | 7,96656451 euros |
14/02/2017 | 7,96655421 euros |
13/02/2017 | 7,9663246 euros |
12/02/2017 | 7,96628359 euros |
11/02/2017 | 7,96615428 euros |
10/02/2017 | 7,96602227 euros |
09/02/2017 | 7,9661644 euros |
08/02/2017 | 7,96666269 euros |
07/02/2017 | 7,96646731 euros |
06/02/2017 | 7,96654443 euros |
05/02/2017 | 7,96641188 euros |
04/02/2017 | 7,96629516 euros |
03/02/2017 | 7,96617412 euros |
02/02/2017 | 7,96625478 euros |
01/02/2017 | 7,96650544 euros |
31/01/2017 | 7,96658973 euros |
30/01/2017 | 7,96653261 euros |
29/01/2017 | 7,96671345 euros |
28/01/2017 | 7,96658404 euros |
27/01/2017 | 7,96641087 euros |
26/01/2017 | 7,96630092 euros |
25/01/2017 | 7,9666669 euros |
24/01/2017 | 7,96670376 euros |
23/01/2017 | 7,9664826 euros |
22/01/2017 | 7,96640314 euros |