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Informe Diário

Competência: 01/12/2022
Nome do Fundo: TREND ETF MSCI MERCADOS EMERGENTES FUNDO DE INVESTIMENTO DE INDICE - 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
010,0000000000000,000,000,000,00002/12/2022
020,0000000000000,000,000,000,00005/12/2022
050,0000000000000,000,000,000,00006/12/2022
060,0000000000000,000,000,000,00007/12/2022
070,0000000000000,000,000,000,00008/12/2022
080,0000000000000,000,000,000,00009/12/2022
090,0000000000000,000,000,000,00012/12/2022
120,0000000000000,000,000,000,00013/12/2022
130,0000000000000,000,000,000,00014/12/2022
140,0000000000000,000,000,000,00015/12/2022
150,0000000000000,000,000,000,00016/12/2022
160,0000000000000,000,000,000,00019/12/2022
190,0000000000000,000,000,000,00020/12/2022
200,0000000000000,000,000,000,00021/12/2022
210,0000000000000,000,000,000,00022/12/2022
220,0000000000000,000,000,000,00023/12/2022
230,0000000000000,000,000,000,00026/12/2022
260,0000000000000,000,000,000,00027/12/2022
270,0000000000000,000,000,000,00028/12/2022
280,0000000000000,000,000,000,00029/12/2022
290,0000000000000,000,000,000,00030/12/2022
300,0000000000000,000,000,000,00002/01/2023

C = Cancelado.