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Informe Diário

Competência: 01/10/2025
Nome do Fundo/Classe: TREND ETF IBOVESPA CLASSE DE ÍNDICE - RESPONSABILIDADE LIMITADACNPJ: 40.155.573/0001-09
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
0114,8639710000001486397,100,00811149840,43804086478,80600702/10/2025
0214,7040770000000,00735203,85801689001,33794747202,17597803/10/2025
0314,7296370000000,002209445,55800873091,43794237915,39599906/10/2025
0614,6693740000000,000,00797596531,88791008983,91601507/10/2025
0714,4393920000000,002165908,80782926119,30776234572,58602808/10/2025
0814,5200280000000,006534012,60780764347,08774000281,04603509/10/2025
0914,4754800000000,001447548,00776921350,41770367793,58606710/10/2025
1014,3704250000000,000,00771282887,51764712000,86606613/10/2025
1314,4831750000000,001448317,50775886060,94769205516,96608414/10/2025
1414,472935000000723646,750,00776061132,81769492596,07601415/10/2025
1514,5670370000002185055,550,00783292057,40776670233,33602616/10/2025
1614,5257540000000,000,00781072231,13774527373,84606317/10/2025
1714,6481400000000,004394442,00783258643,62776662666,70628120/10/2025
2014,7617390000000,003690434,75785642538,58779106248,59653721/10/2025
2114,718496000000735924,800,00784076988,75777728668,38654122/10/2025
2214,7991870000000,00739959,35787635567,65781208478,32654223/10/2025
2314,8859500000002977190,000,00795230457,29788749648,41655924/10/2025
2414,9319290000000,000,00797686696,30791121780,54656527/10/2025
2715,0133990000000,000,00802038980,77795463843,68656528/10/2025
2815,0603750000000,000,00804548480,65798034650,01657729/10/2025
2915,1833870000000,00759169,35810360789,62804387379,88660730/10/2025
3015,19846300000022797694,50759923,15833203225,91827312022,54663231/10/2025
3115,2762390000000,000,00837467008,70831503359,87694403/11/2025

C = Cancelado.