Fondos liquidativos

Fondo: CAIXABANK SELECCION RETORNO ABSOLUTO, FI CLASE PLUS

Fecha

Valor liquidativo

16/07/2008 6,31281402 euros
15/07/2008 6,31483691 euros
14/07/2008 6,31902938 euros
13/07/2008 6,31611777 euros
12/07/2008 6,31598261 euros
11/07/2008 6,315613 euros
10/07/2008 6,31839591 euros
09/07/2008 6,32150525 euros
08/07/2008 6,3200527 euros
07/07/2008 6,32415396 euros
06/07/2008 6,32513728 euros
05/07/2008 6,32502506 euros
04/07/2008 6,32491939 euros
03/07/2008 6,30903523 euros
02/07/2008 6,32496215 euros
01/07/2008 6,32636878 euros
30/06/2008 6,32061747 euros
29/06/2008 6,33249658 euros
28/06/2008 6,33242259 euros
27/06/2008 6,33236084 euros
26/06/2008 6,33666609 euros
25/06/2008 6,33748029 euros
24/06/2008 6,33714667 euros
23/06/2008 6,33935061 euros
22/06/2008 6,33903767 euros
21/06/2008 6,3389679 euros
20/06/2008 6,33890003 euros
19/06/2008 6,3442613 euros
18/06/2008 6,3464478 euros
17/06/2008 6,3454158 euros
16/06/2008 6,34269555 euros
15/06/2008 6,33781374 euros
14/06/2008 6,33780864 euros
13/06/2008 6,33781068 euros
12/06/2008 6,33811805 euros
11/06/2008 6,34073031 euros
10/06/2008 6,34284122 euros
09/06/2008 6,34926808 euros
08/06/2008 6,36392269 euros
07/06/2008 6,36395676 euros
06/06/2008 6,36400081 euros
05/06/2008 6,37037406 euros
04/06/2008 6,35549903 euros
03/06/2008 6,35266209 euros
02/06/2008 6,35988621 euros
01/06/2008 6,36070548 euros
31/05/2008 6,36079369 euros
30/05/2008 6,36086055 euros
29/05/2008 6,35850156 euros
28/05/2008 6,35489187 euros