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Informe Diário

Competência: 01/10/2024
Nome do Fundo/Classe: TREND ETF LBMA OURO FUNDO DE INVESTIMENTO DE INDICE INVESTIMENTO NO EXTERIORCNPJ: 37.985.763/0001-49
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
0115,2352780000000,000,00709202213,07709362991,484339602/10/2024
0215,1926290000008355945,950,00715572823,29715742403,654342203/10/2024
0315,2460670000005336123,450,00723425859,45723605287,744353504/10/2024
0415,1974570000003039491,400,00724158840,63724348131,304370907/10/2024
0715,2038990000009122339,400,00733588142,96733619257,824383608/10/2024
0815,214856000000760742,800,00734877551,90734918491,044393709/10/2024
0915,3061110000009948972,150,00749234145,76749281354,094410110/10/2024
1015,4082330000000,000,00754232996,00754293951,714418311/10/2024
1115,688369000000784418,450,00768730098,55768800777,414423514/10/2024
1415,5307700000000,000,00761007743,42761013254,224429815/10/2024
1515,8098390000006212308,000,00781006040,99781093863,074435516/10/2024
1615,9014280000000,000,00785530539,89785630809,344451517/10/2024
1716,0046990000002400704,850,00793032846,90793142867,434463318/10/2024
1816,234685000000811734,250,00805240396,11805350619,004499221/10/2024
2116,2710270000004881308,100,00811924259,99812054910,644510622/10/2024
2216,4539310000001645393,100,00822696532,82822794751,434503923/10/2024
2316,2275760000008925166,800,00820303952,36820455307,724526024/10/2024
2416,3389760000006535590,400,00832470831,40832633782,174537225/10/2024
2516,4224510000002463367,650,00839187221,89839362224,164550528/10/2024
2816,3992100000002459881,500,00840459489,61840602005,394556329/10/2024
2916,7278070000000,002509171,05854790938,71854987944,534564930/10/2024
3016,8676090000003373521,800,00865308362,64865516529,134590331/10/2024
3116,6412980000000,00832064,90852866523,02853076688,354596301/11/2024

C = Cancelado.