Fondos liquidativos

Fons: CAIXABANK SELECCION RETORNO ABSOLUTO, FI CLASE PLUS

Data

Valor liquidatiu

10/07/2010 6,11431543 euros
09/07/2010 6,11444421 euros
08/07/2010 6,11228497 euros
07/07/2010 6,11040664 euros
06/07/2010 6,11048728 euros
05/07/2010 6,1082712 euros
04/07/2010 6,10357375 euros
03/07/2010 6,10370282 euros
02/07/2010 6,10383193 euros
01/07/2010 6,10777678 euros
30/06/2010 6,11361562 euros
29/06/2010 6,12024184 euros
28/06/2010 6,1234729 euros
27/06/2010 6,12503061 euros
26/06/2010 6,12516312 euros
25/06/2010 6,12529559 euros
24/06/2010 6,12643835 euros
23/06/2010 6,13231166 euros
22/06/2010 6,13027721 euros
21/06/2010 6,13114392 euros
20/06/2010 6,12957459 euros
19/06/2010 6,1297072 euros
18/06/2010 6,12983977 euros
17/06/2010 6,13099042 euros
16/06/2010 6,12574887 euros
15/06/2010 6,12462504 euros
14/06/2010 6,12030501 euros
13/06/2010 6,12206331 euros
12/06/2010 6,12219666 euros
11/06/2010 6,12233001 euros
10/06/2010 6,11322728 euros
09/06/2010 6,11083438 euros
08/06/2010 6,11307798 euros
07/06/2010 6,11756836 euros
06/06/2010 6,12378175 euros
05/06/2010 6,12391598 euros
04/06/2010 6,1240502 euros
03/06/2010 6,12974428 euros
02/06/2010 6,12564771 euros
01/06/2010 6,11928825 euros
31/05/2010 6,12812799 euros
30/05/2010 6,12332702 euros
29/05/2010 6,12346049 euros
28/05/2010 6,12359395 euros
27/05/2010 6,12376842 euros
26/05/2010 6,11407551 euros
25/05/2010 6,10945128 euros
24/05/2010 6,11552337 euros
23/05/2010 6,12000264 euros
22/05/2010 6,12013911 euros