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Informe Diário

Competência: 01/11/2024
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
0116,8007100000005880248,500,00866916650,61867098900,704617604/11/2024
0416,564327000000828216,350,00855547501,03855780280,444635105/11/2024
0516,5461110000009100361,050,00863706986,69863950153,544654306/11/2024
0615,84601200000011092208,400,00838254037,06838508686,824678807/11/2024
0716,1791090000000,006471643,60849403238,42849413260,004683908/11/2024
0816,2470340000000,000,00852969302,57853032743,784705611/11/2024
1115,8610950000000,000,00832707470,11832782255,544705612/11/2024
1215,7149550000000,009428973,00815606162,59815689200,854740613/11/2024
1315,6830820000000,000,00813951956,53814048605,054744414/11/2024
1415,5526300000000,006998683,50800182834,45800288085,644749818/11/2024
1815,7180560000000,0011002639,20797691330,53797710192,894755219/11/2024
1915,9533230000000,003190664,60806440480,67806472277,984760321/11/2024
2116,2871320000004886139,600,00828200658,11828338108,244775722/11/2024
2216,4975280000005774134,800,00844673436,90844821674,264797625/11/2024
2516,0152860000007206878,700,00827189521,46827348593,124811526/11/2024
2616,0451600000000,000,00828732531,53828904957,764822927/11/2024
2716,3101010000000,000,00842416732,55842536016,464841628/11/2024
2816,5473630000000,000,00854671322,00854800603,444846129/11/2024
2916,77256400000010902166,600,00877205078,23877395783,094844902/12/2024

C = Cancelado.