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Informe Diário

Competência: 01/10/2025
Nome do Fundo/Classe: FUNDO DE INVESTIMENTO DE ÍNDICE - CLASSE DE INVESTIMENTO ETF BRADESCO IMA-B5+ - RESP LIMITADCNPJ: 34.081.072/0001-22
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
01121,39953813687375,9313718147,79855866745,41855994762,5661302/10/2025
02121,0463094402457,564350283,31853376483,03853510881,4461203/10/2025
03121,032278307300,28304154,12853277564,57853418353,7261106/10/2025
06121,056906121043,13125778,12853451189,14853598368,3061007/10/2025
07120,5378670,000,00849791963,17849814108,9061008/10/2025
08120,6412340,000,00850520706,44850549217,4661009/10/2025
09120,6513720,000,00850592173,75850627055,2561010/10/2025
10120,1960860,000,00847382413,17847423678,3461013/10/2025
13120,0084090,000,00846059288,75846107076,3861014/10/2025
14120,0085740,000,00846060453,14846112328,3861015/10/2025
15120,47740,000,00849365677,48846502958,6961016/10/2025
16120,184910,000,00847303616,33847372859,3661017/10/2025
17119,9810050,000,00845866088,39845947274,0961020/10/2025
20120,5636870,000,00849973994,56850067112,7061021/10/2025
21120,8829620,000,00852224888,59852329968,5261022/10/2025
22121,5935960,000,00857234858,00857351915,7861023/10/2025
23122,0687070,000,00860584387,86860713459,2861024/10/2025
24122,7966430,000,00865716337,77865857446,7761027/10/2025
27122,810790,000,00865816073,83865969257,0661028/10/2025
28122,470380,000,00863416185,72863532542,3261029/10/2025
29122,2941880,000,00862174031,80862297012,6961030/10/2025
30122,1125710,000,00860893628,60861023224,9161031/10/2025
31122,4166730,000,00863037551,67863048174,0462003/11/2025

C = Cancelado.