Fondos liquidativos

Fondo: CAIXABANK RENTAS EURIBOR 2, FI

Fecha

Valor liquidativo

02/12/2017 5,97405954 euros
01/12/2017 5,97374151 euros
30/11/2017 5,97007839 euros
29/11/2017 5,96237726 euros
28/11/2017 5,96634548 euros
27/11/2017 5,9597133 euros
26/11/2017 5,95772621 euros
25/11/2017 5,95740491 euros
24/11/2017 5,95708648 euros
23/11/2017 5,9628073 euros
22/11/2017 5,96795158 euros
21/11/2017 5,95655143 euros
20/11/2017 5,94922086 euros
19/11/2017 5,9429901 euros
18/11/2017 5,94266606 euros
17/11/2017 5,94234216 euros
16/11/2017 5,94461888 euros
15/11/2017 5,94714984 euros
14/11/2017 5,95819472 euros
13/11/2017 5,95497551 euros
12/11/2017 5,9452962 euros
11/11/2017 5,94496325 euros
10/11/2017 5,94462596 euros
09/11/2017 5,94531505 euros
08/11/2017 5,96275336 euros
07/11/2017 5,98382982 euros
06/11/2017 5,96646144 euros
05/11/2017 5,96806813 euros
04/11/2017 5,96774077 euros
03/11/2017 5,96741113 euros
02/11/2017 5,96352903 euros
01/11/2017 5,96540219 euros
31/10/2017 5,96507713 euros
30/10/2017 5,96071413 euros
29/10/2017 5,93679332 euros
28/10/2017 5,93646037 euros
27/10/2017 5,93612934 euros
26/10/2017 5,94780744 euros
25/10/2017 5,93036966 euros
24/10/2017 5,92745683 euros
23/10/2017 5,93006372 euros
22/10/2017 5,92162542 euros
21/10/2017 5,92129244 euros
20/10/2017 5,92091542 euros
19/10/2017 5,92481058 euros
18/10/2017 5,92899595 euros
17/10/2017 5,9453695 euros
16/10/2017 5,93890492 euros
15/10/2017 5,93836864 euros
14/10/2017 5,93803429 euros