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Rendimiento mensual por Administradora de Inversi贸n

Rendimiento del Fondo General

Acumulado 2do. Periodo

Rendimiento acumulado desde el 7 jul. 2000

HSBC

Progreso

CSS

7.8501

8.1442

7.104

7.686

8.209

6.9229 6.7960 7.1245 6.8678 6.0518 6.1682

7.9574 7.9226 7.8732 7.7932 7.4002 7.4293

7.466 7.099 7.601 3.819 30.500 14.939

6.863 5.680 7.489 2.403 29.762 9.127

7.797 4.452 8.902 -0.899 39.604 9.159

7.3101

7.7936

-5.760

1.230

-4.803

7.0774

7.6892

-4.526

0.110

-5.533

7.471

7.3421

7.7628

-10.603

-10.018

-12.968

8.599

7.3742

7.7750

4.828

9.378

13.890

7.2529

7.7129

-0.259

-0.301

-0.965

7.2774

7.7213

8.170

8.763

9.431

7.3255

7.7418

10.983

9.939

10.397

7.3654

7.7585

11.847

11.134

15.386

7.3983

7.7721

2.263

14.992

9.146

Fecha Mensual

Trimestral

Semestral

Anual

07-jul-00 27-dic-05 31-ene-06

7.850

31-dic-06 31-ene-07 31-dic-07 31-ene-08

7.287

7.770

6.923

8.588

8.128

7.329

31-dic-08 31-ene-09

7.430 5.297 8.213 0.968 32.353 10.383

2.851

2.258

3.933

31-dic-09

-3.190

4.101

10.171

11.193

31-ene-10

-3.361

31-dic-10

-11.208

31-ene-11

9.288

28-feb-11

-0.513

-5.679

6.459

31-mar-11

8.781

30-abr-11

10.455

31-may-11

9.905

30-jun-11

9.592

31-jul-11

8.055

7.4083

7.7742

7.036

10.358

5.675

31-ago-11

7.551

7.4104

7.7725

8.193

9.120

4.595

30-sep-11 31-oct-11

7.3875

7.7581

1.459

5.957

4.986

-2.086

7.2436

7.6807

-0.931

-4.106

-2.128

30-nov-11

7.035

7.2407

7.6761

6.543

8.000

6.986

31-dic-11

6.389

7.2286

7.6665

6.494

6.198

6.413

31-ene-12

7.843

7.2371

7.6678

7.494

8.673

7.668

29-feb-12

5.023

7.2084

7.6495

4.907

4.970

5.294

5.821

5.970

9.982

7.969

7.152 5.036 3.659

5.391


Rendimientos del SIACAP  

rendimientos del SIACAP a febrero de 2012

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