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Informe Diário

Competência: 01/12/2025
Nome do Fundo/Classe: BTG PACTUAL TEVA DIVIDENDOS ATIVOS REAIS LISTADOS FUNDO DE ÍNDICECNPJ: 57.063.444/0001-93
Administrador: BTG PACTUAL SERVIÇOS FINANCEIROS S/A DTVMCNPJ: 59.281.253/0001-23
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
0113,1100627868410,000,002450677,152445612,7344902/12/2025
0213,3142324836490,000,002488842,792483842,2845603/12/2025
0313,2957863489950,000,002485394,642480458,0346304/12/2025
0413,4563557868950,000,002515410,042510537,3446405/12/2025
0512,8987513702970,000,002411176,492406762,4347308/12/2025
0812,9415682321340,000,002419180,292415224,8748009/12/2025
0912,9447979200880,000,002419784,022416287,2449010/12/2025
1012,9764972572820,000,002425709,612422671,4750311/12/2025
1112,9754844172500,000,002425520,282422940,7851712/12/2025
1213,1184317550330,000,002452241,572450109,5052115/12/2025
1513,2824530693140,000,002482902,232481164,3752016/12/2025
1612,9380618110690,000,002418524,832417247,6852717/12/2025
1712,8364597637630,000,002399532,262398714,7452918/12/2025
1812,8705966790150,000,002405913,512405555,6253619/12/2025
1912,9228524188120,000,002415681,732415783,4754122/12/2025
2212,7773298939471292285,240,003666212,043578301,5354723/12/2025
2313,0335282308290,000,003739723,293652270,9355024/12/2025
2413,0320682805520,000,003739304,383652310,1855026/12/2025
2613,0922140493740,000,003756562,073727388,6153229/12/2025
2913,0192009730600,000,003735612,353728068,5655530/12/2025
3013,1411518776470,000,003770603,853770220,3256931/12/2025
3113,1415974405140,000,003770731,703770326,3256902/01/2026

C = Cancelado.