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Informe Diário

Competência: 01/10/2025
Nome do Fundo/Classe: INVESTO ETF MARKETVECTOR BITCOIN BENCHMARK RATE FUNDO DE ÍNDICE - RESPONSABILIDADE LIMITADACNPJ: 56.158.890/0001-19
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
01105,4239180000000,000,0057049520,5457067477,27572902/10/2025
02108,987917000000653927,500,0059632084,8559644939,27574103/10/2025
03110,5909480000001105909,480,0061615083,3561624829,22574406/10/2025
06112,3487360000005168041,860,0067762465,8867735611,83579907/10/2025
07109,7214670000000,000,0066177844,6966191050,55581608/10/2025
08111,3617870000004677195,050,0071844388,9271815261,89572409/10/2025
09109,7114240000002852497,020,0073632164,2473621079,76630510/10/2025
10108,10177400000013188416,430,0085740273,7685633358,65643713/10/2025
13106,4804320000000,000,0084454316,1084472340,44644714/10/2025
14103,842088000000415368,350,0082777097,0082792464,76648715/10/2025
15102,3142060000002660169,360,0084219324,5884214032,20651816/10/2025
1699,455903000000397823,610,0082264353,4682282011,71658217/10/2025
1797,0883710000001165060,450,0081471124,1381482513,10661820/10/2025
20100,4004820000001405606,750,0085656068,5685666657,47666621/10/2025
21101,6004260000006502427,260,0093182221,1492772768,40673922/10/2025
2298,231942000000785855,540,0090878691,8090887581,44675723/10/2025
23100,073795000000800590,360,0093383261,3993394534,52684524/10/2025
24100,5036730000003216117,540,0097000516,7296989694,01688327/10/2025
27104,1223410000000,000,00100493052,90100514931,08689828/10/2025
28102,6721140000000,000,0099093374,6599116720,53691629/10/2025
29100,0028290000002000056,580,0098517187,2798522583,17692330/10/2025
3096,441440000000964414,400,0095973120,3995983572,76695131/10/2025
3199,5755930000001394058,300,00100486112,68100493902,96699303/11/2025

C = Cancelado.