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Informe Diário

Competência: 01/10/2025
Nome do Fundo/Classe: NU IBOV SMART LOW VOLATILITY B3 CLASSE DE ÍNDICE - RESPONSABILIDADE LIMITADACNPJ: 55.705.668/0001-26
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
01114,5497190000000,000,0022909943,8114674890,84228302/10/2025
02113,5701110000005678505,550,0028392527,7620666547,22228403/10/2025
03113,5583930000000,000,0028389598,4220705453,61228806/10/2025
06112,8940980000000,000,0028223524,7120797522,91230807/10/2025
07111,3695670000000,000,0027842391,9920247574,03230608/10/2025
08111,3278400000000,000,0027831960,0020579225,14230309/10/2025
09111,0567240000000,000,0027764181,2220826631,59230510/10/2025
10110,8048600000000,000,0027701215,1720245937,52230613/10/2025
13111,4145040000000,000,0027853626,0420627088,23231014/10/2025
14111,1588730000000,000,0027789718,2920409177,70231015/10/2025
15111,6970450000000,000,0027924261,4320468522,21230416/10/2025
16111,7962140000000,000,0027949053,6620876836,10230517/10/2025
17112,5649440000000,000,0028141236,1421838650,20231120/10/2025
20113,4909060000000,000,0028372726,5721643479,60230921/10/2025
21113,0494440000000,000,0028262361,2221568188,48231222/10/2025
22113,5754640000000,000,0028393866,2321623909,36231823/10/2025
23114,0008770000000,000,0028500219,3721788947,28231924/10/2025
24114,4483740000000,000,0028612093,6422023127,24232127/10/2025
27115,2389850000000,000,0028809746,4122000954,61232428/10/2025
28115,3048310000000,000,0028826207,9621967142,29232829/10/2025
29115,9099750000000,000,0028977493,9122171454,08233630/10/2025
30116,7145040000000,000,0029178626,2022812578,55234231/10/2025
31116,7575970000000,000,0029189399,4322803076,69235503/11/2025

C = Cancelado.