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Informe Diário

Competência: 01/09/2022
Nome do Fundo: TREND ETF MSCI MERCADOS EMERGENTES FUNDO DE INVESTIMENTO DE ÍNDICE – INVESTIMENTO NO EXTERIORCNPJ: 35.121.315/0001-71
Administrador: BANCO BNP PARIBAS BRASIL S/ACNPJ: 01.522.368/0001-82
Dia Quota (R$) Captação no dia (R$) Resgate no dia (R$) Patrimônio Liquido (R$) Total de Carteira (R$) N.º Total de Cotistas Data da próxima informação do PL
017,3818910000000,000,005905513,335854205,0576202/09/2022
027,2220170000000,000,005777614,065726534,6576005/09/2022
057,2171040000000,000,005773683,275722662,2575906/09/2022
067,2329080000000,000,005786327,115735199,8475908/09/2022
087,2223140000000,00361115,705416736,155363723,7875909/09/2022
097,2535120000000,000,005440134,335387525,3075912/09/2022
127,273165000000363658,250,005818532,645765999,8176213/09/2022
137,1896330000000,000,005751706,515699137,4476414/09/2022
147,2025720000000,000,005762057,825709595,4876315/09/2022
157,2069710000000,000,005765577,255713043,3176116/09/2022
167,1889300000000,000,005751144,315698595,2876019/09/2022
197,0860360000000,000,005668829,145616568,6275920/09/2022
207,0156710000000,000,005612537,235560399,6175621/09/2022
216,8803590000000,00344017,955160269,455108162,9675622/09/2022
226,8336640000001025049,600,006150298,326097923,8876023/09/2022
236,8323460000000,000,006149111,626096928,1075926/09/2022
266,9274630000000,000,006234716,906182273,6375827/09/2022
276,8764090000000,000,006188768,496136480,3375928/09/2022
286,9237490000000,00346187,455885187,035838271,4375929/09/2022
296,8347440000000,000,005809532,455761834,2476130/09/2022
306,7624890000000,000,005748116,235700544,0776203/10/2022

C = Cancelado.