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Informe Diário

Competência: 01/10/2025
Nome do Fundo/Classe: FI DE ÍNDICE - CLASSE DE INVESTIMENTO B-INDEX MORNINGSTAR BRASIL MOMENTO - RESP LIMITADACNPJ: 48.643.091/0001-00
Administrador: BANCO BRADESCO S.A.CNPJ: 60.746.948/0001-12
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
01137,04636750,000,0041113910,2640683786,6218102/10/2025
02135,52431550,000,0040657294,6740270155,7118103/10/2025
03135,68743310,000,0040706229,9440196797,6118106/10/2025
06134,96266450,000,0040488799,3639986499,7218107/10/2025
07132,57242660,000,0039771727,9939391779,0718108/10/2025
08133,19679190,000,0039959037,5739566533,4818109/10/2025
09132,20763050,000,0039662289,1739186541,7418110/10/2025
10131,43578420,000,0039430735,2838958640,1318113/10/2025
13131,98243540,000,0039594730,6339101971,9418114/10/2025
14131,76417850,000,0039529253,5739041059,1818115/10/2025
15133,02207910,000,0039906623,7539425777,3418116/10/2025
16132,55201510,000,0039765604,5539293535,9118117/10/2025
17133,62871150,000,0040088613,4539610316,8418120/10/2025
20134,89291840,000,0040467875,5339989897,1518121/10/2025
21134,59058520,000,0040377175,5839914035,7818122/10/2025
22134,97494110,000,0040492482,3340056609,5618123/10/2025
23135,66179340,000,0040698538,0440262559,7518124/10/2025
24136,50129680,000,0040950389,0440488230,0718127/10/2025
27137,32078710,000,0041196236,1440737661,7722328/10/2025
28138,23290280,000,0041469870,8441013515,6222329/10/2025
29138,48761230,000,0041546283,7141086684,3922330/10/2025
30139,02025520,000,0041706076,5741250437,7722331/10/2025
31139,86882270,000,0041960646,8141502937,0122303/11/2025

C = Cancelado.