Fondos liquidativos

Fondo: CAIXABANK SELECCION RETORNO ABSOLUTO, FI CLASE PLUS

Fecha

Valor liquidativo

04/03/2009 5,86003279 euros
03/03/2009 5,8621494 euros
02/03/2009 5,86605879 euros
01/03/2009 5,8718909 euros
28/02/2009 5,87191846 euros
27/02/2009 5,87195124 euros
26/02/2009 5,87297173 euros
25/02/2009 5,87091957 euros
24/02/2009 5,87693029 euros
23/02/2009 5,88544547 euros
22/02/2009 5,89025127 euros
21/02/2009 5,89030996 euros
20/02/2009 5,89036864 euros
19/02/2009 5,90588976 euros
18/02/2009 5,91606621 euros
17/02/2009 5,91764172 euros
16/02/2009 5,92575665 euros
15/02/2009 5,92485279 euros
14/02/2009 5,92490921 euros
13/02/2009 5,92496778 euros
12/02/2009 5,92153348 euros
11/02/2009 5,91454369 euros
10/02/2009 5,9123595 euros
09/02/2009 5,91587894 euros
08/02/2009 5,91709638 euros
07/02/2009 5,91715392 euros
06/02/2009 5,9172118 euros
05/02/2009 5,90742707 euros
04/02/2009 5,91038094 euros
03/02/2009 5,89699264 euros
02/02/2009 5,89983117 euros
01/02/2009 5,90632089 euros
31/01/2009 5,90636621 euros
30/01/2009 5,90641448 euros
29/01/2009 5,90189224 euros
28/01/2009 5,89701446 euros
27/01/2009 5,88824589 euros
26/01/2009 5,88716351 euros
25/01/2009 5,88327744 euros
24/01/2009 5,88333298 euros
23/01/2009 5,88338851 euros
22/01/2009 5,89127603 euros
21/01/2009 5,8808467 euros
20/01/2009 5,89601874 euros
19/01/2009 5,90450841 euros
18/01/2009 5,91488228 euros
17/01/2009 5,91490312 euros
16/01/2009 5,91492399 euros
15/01/2009 5,8979123 euros
14/01/2009 5,91680556 euros