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Informe Diário

Competência: 01/10/2025
Nome do Fundo/Classe: INVESTO MSCI US REAL ESTATE ETF CLASSE DE ÍNDICE - IE - RESPONSABILIDADE LIMITADACNPJ: 42.280.328/0001-59
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
0141,0440510000000,000,0062012266,9061960497,721348202/10/2025
0240,9910540000000,000,0061932194,8861882455,251348103/10/2025
0341,1133670000000,000,0062116994,5762069259,391348506/10/2025
0640,5243550000003241948,400,0064469021,8164405767,851347307/10/2025
0740,6663970000000,000,0064694992,4064634753,761557408/10/2025
0840,4611210000000,000,0064368423,9464310129,021559009/10/2025
0940,4285710000000,000,0064316641,7764260309,521560610/10/2025
1040,8134710000000,000,0064928967,3164874689,661560313/10/2025
1340,7250160000000,000,0064788247,0264735870,641559714/10/2025
1441,2634360000000,000,0065644804,4765594387,651558715/10/2025
1541,7532830000000,000,0066424087,7166375194,881558016/10/2025
1641,5602070000000,000,0066116928,2666011281,031560117/10/2025
1741,5071690000000,000,0066032551,8865928963,551559620/10/2025
2041,6613670000000,000,0066277861,2766176568,261559821/10/2025
2141,6542980000000,000,0066266614,9566229878,711558422/10/2025
2241,9739330000000,000,0066775113,4666732314,641559523/10/2025
2341,7618040000000,000,0066437642,2166396771,661559124/10/2025
2441,9558040000000,000,0066746272,3066707384,261559227/10/2025
2741,9282560000000,000,0066702446,8766665495,951558828/10/2025
2840,998754000000819975,080,0066043704,4266004675,491558429/10/2025
2939,9731440000000,000,0064391578,1664358539,611558130/10/2025
3040,2735080000000,000,0064875426,5864843190,661559831/10/2025
3140,4152960000000,000,0065103827,6565073546,341560303/11/2025

C = Cancelado.