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Informe Diário

Competência: 01/10/2025
Nome do Fundo/Classe: BB ETF ÍNDICE DAP5 B3 FUNDO DE ÍNDICE RESPONSABILIDADE LIMITADACNPJ: 51.921.067/0001-08
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
0111,6549060,000,00110721602,30110731232,1615002/10/2025
0211,6363560,000,00110545381,99110555103,5114903/10/2025
0311,6399040,000,00110579091,58110588903,0614906/10/2025
0611,6401620,000,00110581536,84110590475,2014907/10/2025
0711,6340140,000,00110523136,57110532166,3214808/10/2025
0811,6553560,000,00110725884,92110735005,5614709/10/2025
0911,6636060,000,00110804257,16110813470,8414810/10/2025
1011,6651010,000,00110818454,77110827760,5314913/10/2025
1311,6549440,000,00110721965,88110731363,2214714/10/2025
1411,6622710,000,00110791570,46110800677,4614715/10/2025
1511,6782990,000,00110943836,90110953035,9014717/10/2025
1611,6835850,000,00110994056,62111003348,3514717/10/2025
1711,6763710,000,00110925527,54110934911,2114720/10/2025
2011,6869680,000,00111026193,37111035668,0014621/10/2025
2111,6792500,000,00110952874,15110962441,1314622/10/2025
2211,7005520,000,00111155241,96111164899,8814623/10/2025
2311,7197870,000,00111337980,86111347731,9814624/10/2025
2411,7471980,000,00111598382,32111608226,5614627/10/2025
2711,7633630,000,00111751944,58111761882,6714328/10/2025
2811,7632950,000,00111751302,50111761315,4114329/10/2025
2911,7587990,000,00111708588,88111718711,8714330/10/2025
3011,7516130,000,00111640320,22111650534,6814331/10/2025
3111,7691900,000,00111807306,71111817451,6414225/11/2025
3111,7691900,000,00111807306,71111817451,6414203/11/2025

C = Cancelado.