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Informe Diário

Competência: 01/10/2025
Nome do Fundo/Classe: INVESTO FTSE GLOBAL EQUITIES ETF CLASSE DE ÍNDICE - IE - RESPONSABILIDADE LIMITADACNPJ: 42.280.262/0001-05
Administrador: BANCO BNP PARIBAS BRASIL S/ACNPJ: 01.522.368/0001-82
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
01132,2730680000000,000,00694433606,20694801607,983421202/10/2025
02132,9925440000006649627,200,00704860484,71705227968,613428403/10/2025
03133,2505440000000,000,00706227882,48706616970,923438006/10/2025
06133,0662530000000,000,00705251138,37705650165,423446007/10/2025
07133,1979960000000,000,00705949380,77706173989,823457008/10/2025
08133,9413850000002678827,700,00712568165,62712798877,873467809/10/2025
09133,8657830000000,000,00712165967,52712412102,573483010/10/2025
10133,3590000000000,000,00709469879,68709728966,993493713/10/2025
13134,3450750000000,000,00714715800,40714984475,163503314/10/2025
14134,6737220000002693474,440,00719157674,19719433014,173515415/10/2025
15135,0806470000000,000,00721330652,63721619558,973525916/10/2025
16134,5706330000000,000,00718607180,96718417779,783534017/10/2025
17133,9481130000000,000,00715282923,77715105651,983542620/10/2025
20134,4260960000002688521,920,00720523874,50720355517,073549821/10/2025
21134,4381350000000,000,00720588403,89720931590,193556122/10/2025
22134,3185180000000,000,00719947256,16720285459,073561023/10/2025
23134,6062740000000,000,00721489630,36721837996,913566524/10/2025
24135,6903930000000,000,00727300508,21727659746,523573127/10/2025
27136,5721120000000,000,00732026519,25732396131,293578428/10/2025
28136,3129950000002726259,900,00733363914,97733740210,103583629/10/2025
29136,2299990000000,000,00732917394,57733308466,013591230/10/2025
30135,4057560000002708115,120,00731191084,48731581561,973599431/10/2025
31135,7761110000000,000,00733191000,79733596148,103604203/11/2025

C = Cancelado.