Fondos liquidativos

Fons: CAIXABANK SELECCION RETORNO ABSOLUTO, FI CLASE PLUS

Data

Valor liquidatiu

06/02/2007 6,36757874 euros
05/02/2007 6,36202834 euros
04/02/2007 6,35643663 euros
03/02/2007 6,3565124 euros
02/02/2007 6,35658857 euros
01/02/2007 6,35094253 euros
31/01/2007 6,34699484 euros
30/01/2007 6,34271974 euros
29/01/2007 6,34605979 euros
28/01/2007 6,34260288 euros
27/01/2007 6,34268082 euros
26/01/2007 6,34275888 euros
25/01/2007 6,34265367 euros
24/01/2007 6,34147095 euros
23/01/2007 6,33660177 euros
22/01/2007 6,33566814 euros
21/01/2007 6,33149998 euros
20/01/2007 6,33158143 euros
19/01/2007 6,33166286 euros
18/01/2007 6,32738597 euros
17/01/2007 6,32439378 euros
16/01/2007 6,32038192 euros
15/01/2007 6,3157825 euros
14/01/2007 6,31355249 euros
13/01/2007 6,31364567 euros
12/01/2007 6,3137389 euros
11/01/2007 6,30811056 euros
10/01/2007 6,30161541 euros
09/01/2007 6,30423158 euros
08/01/2007 6,30475724 euros
07/01/2007 6,30090855 euros
06/01/2007 6,30098121 euros
05/01/2007 6,3010539 euros
04/01/2007 6,30606232 euros
03/01/2007 6,30327771 euros
02/01/2007 6,3014245 euros
01/01/2007 6,29674105 euros
31/12/2006 6,2968561 euros
30/12/2006 6,29695122 euros
29/12/2006 6,29704666 euros
28/12/2006 6,29315683 euros
27/12/2006 6,28844032 euros
26/12/2006 6,28079016 euros
25/12/2006 6,28092828 euros
24/12/2006 6,28102275 euros
23/12/2006 6,2811175 euros
22/12/2006 6,28121226 euros
21/12/2006 6,28216688 euros
20/12/2006 6,28144493 euros
19/12/2006 6,28209203 euros