Fondos liquidativos

Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE PLATINUM

Fecha

Valor liquidativo

05/06/2025 8,45773097 euros
04/06/2025 8,45771074 euros
03/06/2025 8,45718163 euros
02/06/2025 8,45648847 euros
01/06/2025 8,45595953 euros
31/05/2025 8,45552439 euros
30/05/2025 8,45509432 euros
29/05/2025 8,45468586 euros
28/05/2025 8,45388088 euros
27/05/2025 8,45331406 euros
26/05/2025 8,45252193 euros
25/05/2025 8,45211007 euros
24/05/2025 8,45168152 euros
23/05/2025 8,45125615 euros
22/05/2025 8,45025761 euros
21/05/2025 8,44962783 euros
20/05/2025 8,44922082 euros
19/05/2025 8,44860128 euros
18/05/2025 8,4479519 euros
17/05/2025 8,44763481 euros
16/05/2025 8,44720403 euros
15/05/2025 8,44638971 euros
14/05/2025 8,44548085 euros
13/05/2025 8,44506811 euros
12/05/2025 8,44430954 euros
11/05/2025 8,44436377 euros
10/05/2025 8,44393519 euros
09/05/2025 8,44339766 euros
08/05/2025 8,44307686 euros
07/05/2025 8,44257402 euros
06/05/2025 8,44194313 euros
05/05/2025 8,44139738 euros
04/05/2025 8,44077661 euros
03/05/2025 8,4403473 euros
02/05/2025 8,43991808 euros
01/05/2025 8,43949936 euros
30/04/2025 8,43906703 euros
29/04/2025 8,43840803 euros
28/04/2025 8,4377662 euros
27/04/2025 8,43695093 euros
26/04/2025 8,43651258 euros
25/04/2025 8,436077 euros
24/04/2025 8,43563699 euros
23/04/2025 8,43451251 euros
22/04/2025 8,43402987 euros
21/04/2025 8,43322771 euros
20/04/2025 8,4327803 euros
19/04/2025 8,43233265 euros
18/04/2025 8,43188465 euros
17/04/2025 8,43143633 euros