Fondos liquidativos

Fondo: CAIXABANK SELECCION RETORNO ABSOLUTO, FI CLASE PLUS

Fecha

Valor liquidativo

12/06/2009 5,98479434 euros
11/06/2009 5,97990031 euros
10/06/2009 5,96872861 euros
09/06/2009 5,97500586 euros
08/06/2009 5,96697451 euros
07/06/2009 5,96966282 euros
06/06/2009 5,96974435 euros
05/06/2009 5,96982591 euros
04/06/2009 5,97301821 euros
03/06/2009 5,96898607 euros
02/06/2009 5,97527128 euros
01/06/2009 5,96605215 euros
31/05/2009 5,95923864 euros
30/05/2009 5,95930933 euros
29/05/2009 5,95937851 euros
28/05/2009 5,95039257 euros
27/05/2009 5,95224033 euros
26/05/2009 5,94834761 euros
25/05/2009 5,94610062 euros
24/05/2009 5,94452164 euros
23/05/2009 5,94457841 euros
22/05/2009 5,94461488 euros
21/05/2009 5,95138539 euros
20/05/2009 5,94967926 euros
19/05/2009 5,94719202 euros
18/05/2009 5,9417561 euros
17/05/2009 5,93658664 euros
16/05/2009 5,93665984 euros
15/05/2009 5,93673303 euros
14/05/2009 5,93225361 euros
13/05/2009 5,93374392 euros
12/05/2009 5,9335509 euros
11/05/2009 5,93035234 euros
10/05/2009 5,92674147 euros
09/05/2009 5,92682595 euros
08/05/2009 5,92691046 euros
07/05/2009 5,92291694 euros
06/05/2009 5,92177691 euros
05/05/2009 5,91617312 euros
04/05/2009 5,91290053 euros
03/05/2009 5,91051162 euros
02/05/2009 5,91059132 euros
01/05/2009 5,91067102 euros
30/04/2009 5,91074109 euros
29/04/2009 5,90638637 euros
28/04/2009 5,91622627 euros
27/04/2009 5,90531961 euros
26/04/2009 5,8996437 euros
25/04/2009 5,89971294 euros
24/04/2009 5,89978226 euros