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Informe Diário

Competência: 01/10/2025
Nome do Fundo/Classe: BB ETF ÍNDICE DIVERSIDADE B3 INVESTIMENTO SUSTENTÁVEL FUNDO DE ÍNDICE RESPONSABILIDADE LIMITADACNPJ: 52.203.750/0001-64
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
0111,8153905350,000,0064984647,9464993191,1513502/10/2025
0211,6273821580,000,0063950601,8764102386,1013603/10/2025
0311,6467927270,000,0064057360,0064209183,6413606/10/2025
0611,5452162690,002886304,0660612385,4163506802,6513707/10/2025
0711,3175279830,000,0059417021,9162373338,6413708/10/2025
0811,3716310780,000,0059701063,1659771896,5013709/10/2025
0911,3039173090,000,0059345565,8759353783,0213810/10/2025
1011,2158437870,000,0058883179,8859064093,4713813/10/2025
1311,2727488290,000,0059181931,3559362840,8313714/10/2025
1411,2401714400,000,0059010900,0659035637,6313715/10/2025
1511,3493045850,000,0059583849,0759609883,1713817/10/2025
1611,2921072650,000,0059283563,1459293306,1413617/10/2025
1711,4040420060,000,0059871220,5359879727,3113620/10/2025
2011,4778262530,000,0060258587,8360267110,5913721/10/2025
2111,4474992880,000,0060099371,2660107984,7313722/10/2025
2211,4612973260,000,0060171810,9660180472,5113923/10/2025
2311,5337030570,000,0060551941,0560560697,2413724/10/2025
2411,6097413850,000,0060951142,2760959905,2713727/10/2025
2711,6921467500,000,0061383770,4461392582,5313628/10/2025
2811,6556104720,000,0061191954,9861356150,1313629/10/2025
2911,7136836630,000,0061496839,2361661077,5713630/10/2025
3011,7753185100,000,0061820422,1861829381,3113631/10/2025
3111,8497931500,000,0062211414,0462220429,0713425/11/2025
3111,8497931500,000,0062211414,0462220429,0713403/11/2025

C = Cancelado.