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Informe Diário

Competência: 01/10/2025
Nome do Fundo/Classe: BB ETF S&P DIVIDENDOS BRASIL FUNDO DE ÍNDICE RESPONSABILIDADE LIMITADACNPJ: 17.817.528/0001-50
Administrador: BB GESTAO DE RECURSOS DTVM S.ACNPJ: 30.822.936/0001-69
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
01120,9884842000,000,006049424,216055277,44130602/10/2025
02119,8268244000,000,005991341,225997224,68130403/10/2025
03119,9279680000,000,005996398,406002311,58130406/10/2025
06119,2610620000,000,005963053,105968945,11130207/10/2025
07117,2473384000,000,005862366,925868289,12129908/10/2025
08117,3714510000,000,005868572,555874573,19130509/10/2025
09116,8888800000,000,005844444,005850478,25130310/10/2025
10115,9678704000,000,005798393,525804458,10130313/10/2025
13116,9020678000,000,005845103,395851197,85129814/10/2025
14116,8437406000,000,005842187,035848369,39129815/10/2025
15118,0155562000,000,005900777,815906982,80129517/10/2025
16117,5250662000,000,005876253,315909018,22129217/10/2025
17118,3207318000,000,005916036,595948831,84129220/10/2025
20119,5129378000,000,005975646,895981853,91129521/10/2025
21119,1376346000,000,005956881,735972575,83129522/10/2025
22119,1525962000,000,005957629,815973354,39129523/10/2025
23119,7083060000,000,005985415,305991756,28129724/10/2025
24120,3156526000,000,006015782,636022155,04129727/10/2025
27121,1972602000,000,006059863,016066266,91129628/10/2025
28121,4504278000,000,006072521,396078957,06129529/10/2025
29122,4369464000,000,006121847,326128314,15129530/10/2025
30122,8475794000,000,006142378,976148877,70129531/10/2025
31122,7161898000,000,006135809,496142339,56129303/11/2025
31122,7161898000,000,006135809,496142339,56129325/11/2025

C = Cancelado.