Imprimir

Informe Diário

Competência: 01/10/2024
Nome do Fundo/Classe: TREND ETF MSCI ACWI FUNDO DE INVESTIMENTO DE INDICE - INVESTIMENTO NO EXTERIORCNPJ: 38.542.889/0001-01
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
0113,4713090000000,000,0096319857,8996317168,35624602/10/2024
0213,4625280000000,00673126,4095583951,1695582488,18628303/10/2024
0313,4482590000000,000,0095482641,4995483172,37628104/10/2024
0413,5508430000000,000,0096210986,9996213138,17626707/10/2024
0713,5146350000000,000,0095953907,8995933539,71626908/10/2024
0813,6636310000000,000,0097011780,8796992919,89629309/10/2024
0913,8777280000000,000,0098531871,7998514490,25631710/10/2024
1013,8494340000000,000,0098330981,4698315263,34631711/10/2024
1114,0454520000000,000,0099722712,6399708538,29632814/10/2024
1413,9927880000000,000,0099348796,4199321579,53634415/10/2024
1514,0451410000000,000,0099720503,0699708648,03635316/10/2024
1614,1130060000000,000,00100202346,04100192150,21638117/10/2024
1714,1121220000000,000,00100196064,14100187540,18640818/10/2024
1814,2498270000000,000,00101173773,61101153146,13642321/10/2024
2114,2102750000000,000,00100892950,80100887638,35644522/10/2024
2214,1897240000000,000,00100747038,71100743401,98645523/10/2024
2314,0410630000000,000,0099691550,3799689620,34649324/10/2024
2414,063796000000703189,800,00100556143,19100555856,83650325/10/2024
2514,0778190000000,000,00100656408,12100658909,97651128/10/2024
2814,1366440000000,000,00101077002,05101081200,87653029/10/2024
2914,2517710000000,000,00101900164,81101904821,65654030/10/2024
3014,2282360000000,000,00101731886,61101738200,40654531/10/2024
3114,0417840000000,00702089,2099696663,1899702328,64655301/11/2024

C = Cancelado.