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Informe Diário

Competência: 01/10/2025
Nome do Fundo/Classe: FUNDO DE INVESTIMENTO DE ÍNDICE - CLASSE DE INVESTIMENTO ETF BRADESCO IBOVESPA - RESP LIMITADACNPJ: 32.203.211/0001-18
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
01148,54582520,000,001433467213,271418660880,61132901/10/2025
02146,94572490,000,001418026245,951403784154,64132902/10/2025
03147,20252120,000,001420504329,901408410747,95132203/10/2025
06146,60062080,000,001414695991,301400416456,67131906/10/2025
07144,30217820,000,001392516020,591379119131,71132407/10/2025
08145,10781330,000,001400290399,021388863310,07132409/10/2025
09144,6626150,000,001395994235,011384048613,88136810/10/2025
10143,61210890,000,001385856851,211372523052,36136711/10/2025
13144,73787290,000,001396720473,991384695768,31137413/10/2025
14144,63545770,000,001395732167,661383815848,93137214/10/2025
15145,57585610,000,001404807011,851391322743,54137215/10/2025
16145,16344470,000,001400827241,811387384583,83135917/10/2025
17146,38601790,000,001412625073,611399078897,63135718/10/2025
20147,52112020,000,001423578810,781409915355,45135620/10/2025
21147,08850410,000,001419404065,111405777028,75136521/10/2025
22147,89503990,000,001427187135,221413828147,44136523/10/2025
23148,76249840,000,001435558110,271422105676,86135823/10/2025
24149,22169530,000,001439989360,541428128490,64135825/10/2025
27150,03615030,000,001447848850,661434286251,29133327/10/2025
28150,50550910,000,001452378163,421440478655,78133228/10/2025
29151,73480010,000,001464240821,601438725038,68133029/10/2025
30151,884280,000,001465683302,661451912304,26132830/10/2025
31152,66123870,000,001473180954,241459281592,82133131/10/2025

C = Cancelado.