Fondos liquidativos

Fondo: CAIXABANK RENTAS EURIBOR 2, FI

Fecha

Valor liquidativo

13/10/2017 5,93769963 euros
12/10/2017 5,92596248 euros
11/10/2017 5,92562093 euros
10/10/2017 5,90917954 euros
09/10/2017 5,91614793 euros
08/10/2017 5,90600881 euros
07/10/2017 5,90566982 euros
06/10/2017 5,90533232 euros
05/10/2017 5,9117604 euros
04/10/2017 5,89326981 euros
03/10/2017 5,9191102 euros
02/10/2017 5,92863572 euros
01/10/2017 5,95062419 euros
30/09/2017 5,95028951 euros
29/09/2017 5,9499544 euros
28/09/2017 5,95132953 euros
27/09/2017 5,94589272 euros
26/09/2017 5,94583625 euros
25/09/2017 5,94405633 euros
24/09/2017 5,94883241 euros
23/09/2017 5,94849843 euros
22/09/2017 5,94816594 euros
21/09/2017 5,94741829 euros
20/09/2017 5,95635375 euros
19/09/2017 5,96187378 euros
18/09/2017 5,95302041 euros
17/09/2017 5,94260595 euros
16/09/2017 5,9422578 euros
15/09/2017 5,94190971 euros
14/09/2017 5,93718524 euros
13/09/2017 5,94121598 euros
12/09/2017 5,93814104 euros
11/09/2017 5,93650482 euros
10/09/2017 5,94432454 euros
09/09/2017 5,94398925 euros
08/09/2017 5,9436552 euros
07/09/2017 5,95809146 euros
06/09/2017 5,93657751 euros
05/09/2017 5,94816304 euros
04/09/2017 5,94516359 euros
03/09/2017 5,93667284 euros
02/09/2017 5,9363322 euros
01/09/2017 5,93598948 euros
31/08/2017 5,94440928 euros
30/08/2017 5,93871114 euros
29/08/2017 5,94018396 euros
28/08/2017 5,93720904 euros
27/08/2017 5,93670569 euros
26/08/2017 5,9363664 euros
25/08/2017 5,9360231 euros