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Informe Diário

Competência: 01/10/2025
Nome do Fundo/Classe: BB ETF ÍNDICE BOVESPA B3 BR+ FUNDO DE ÍNDICE RESPONSABILIDADE LIMITADACNPJ: 57.848.980/0001-02
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
0110,9606416680,000,0024113411,6724115453,5813002/10/2025
0210,8828361680,000,0023942239,5723944306,0812903/10/2025
0310,8576719950,000,0023886878,3923888966,2612806/10/2025
0610,7961344910,000,0023751495,8823753394,9912907/10/2025
0710,6675459270,000,0023468601,0423470525,8712908/10/2025
0810,7202334640,000,0023584513,6223586459,9013009/10/2025
0910,7377264950,000,0023622998,2923624969,6913010/10/2025
1010,6333386410,000,0023393345,0123395339,8012913/10/2025
1310,7050841360,000,0023551185,1023553202,8812914/10/2025
1410,7009899950,000,0023542177,9923544303,3412815/10/2025
1510,7294799450,000,0023604855,8823606993,1712917/10/2025
1610,6541717680,000,0023439177,8923441263,4513017/10/2025
1710,7369994680,000,0023621398,8323623510,5413020/10/2025
2010,8603579730,000,0023892787,5423894840,9913221/10/2025
2110,8433555820,000,0023855382,2823857541,6513222/10/2025
2210,8660384140,000,0023905284,5123907467,8313223/10/2025
2310,9829997090,000,0024162599,3624164804,6813724/10/2025
2411,0163410090,000,0024235950,2224238182,5513727/10/2025
2711,1075041410,000,0024436509,1124438765,9513728/10/2025
2811,1278971860,000,0024481373,8124483655,1713729/10/2025
2911,2245414360,000,0024693991,1624696297,2013730/10/2025
3011,2621912730,000,0024776820,8024779150,7013731/10/2025
3111,3033797910,000,0024867435,5424869791,7513203/11/2025
3111,3033797910,000,0024867435,5424869791,7513225/11/2025

C = Cancelado.