CAIXA GIRONA GESTIÓ
CAIXA GIRONA GESTIÓ

Quadre de Rendibilitats



FONS INVERSIÓ RENDIBILITAT ACUMULADA RENDIBILITAT
Benchmark (Index de referència) 1 mes 3 mesos 6 mesos 1 any 3 anys 5 anys 2010
Fons de Renda Fixa
CG Renda Fixa FI 1.25% 1.72% 1.66% - - - 1.86%
Lipper Renda Fixa Euro Corporatius 1.79% 2.82% 2.87% - - - 3.26%
CG Estalvi FI 0.45% 0.49% -0.06% 1.46% 6.75% 9.22% 0.53%
Lipper Renda Fixa Eurozona Mig Plaç 1.05% 1.14% 0.96% 2.1% 11.1% 11.21% 1.71%
CG Patrimoni, FI 0.24% 0.44% 0.03% 1.3% 9.76% 16.75% 0.38%
Lipper Bond EUR Short Term 0.41% 0.43% 0.21% 1.25% 4.32% 6.8% 0.65%
Fons de Renda Variable
CG Borsa Europa FI -2.61% 1.06% -1.02% 5.73% -26.62% -1.67% -3.35%
Lipper Equity Europe -3.19% 1.65% 1.81% 5.65% -30.2% -9.31% -1.26%
CG Emergent FI 0.02% 4.69% 11.65% 26.45% -4.14% 52.51% 9.67%
Lipper Equity Emerging Markets Global 0.06% 4.04% 11.61% 27.35% -3.65% 51.02% 11.16%
Fons de Renda Mixta
CG Euromixt 20 FI -0.09% 0.88% 0.04% 2.37% 2.58% 15.75% -0.17%
Lipper Mixed Asset EUR Cons-Eurozone -0.08% 0.84% 0.46% 1.31% -0.64% 6.64% -0.35%
CG Euromixt 40 FI -0.7% 0.73% -0.57% 2.25% -7.93% 11.34% -1.66%
Lipper Mixed Asset EUR Bal-Europe -0.94% 1.13% 1.25% 3.68% -10.61% 1.89% -0.51%
Fons Flexibles ( Globals)
CG Oportunitats FI -0.34% -0.21% 0.54% 3.22% - - -0.74%
Lipper Global Mixed Asset EUR Flexible Global -0.34% 0.45% 1.41% 4.48% - - 0.76%

Data: 02-09-2010  Data Benchmark: 26-08-2010

* Càlcul Rendibilitat acumulada amb data: 26-08-2010

Les rendibilitats passades no pressuposen garantia de rendibilitats futures.



 
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