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Informe Diário

Competência: 01/12/2025
Nome do Fundo/Classe: NU IBOXX INVESTMENT GRADE HEDGE CARRY BRL CLASSE DE ÍNDICE - RESPONSABILIDADE LIMITADACNPJ: 62.344.793/0001-13
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
0151,2416640000000,000,0015372499,3615354743,7096702/12/2025
0251,2739750000000,000,0015382192,7315321780,00100103/12/2025
0351,3293480000000,000,0015398804,5715334816,64119404/12/2025
0451,3280960000000,000,0015398428,8215361457,09121005/12/2025
0551,2789580000000,000,0015383687,4815473582,50121508/12/2025
0851,3275540000000,000,0015398266,4315318810,25125009/12/2025
0951,3270690000000,000,0015398120,9515372072,92131010/12/2025
1051,4239770000000,000,0015427193,1215423735,26132911/12/2025
1151,4502270000000,000,0015435068,1915320177,17133612/12/2025
1251,3576130000000,000,0015407284,1515370970,72136415/12/2025
1551,4025410000000,000,0015420762,5715394348,87138916/12/2025
1651,4585650000000,000,0015437569,5515431526,51142317/12/2025
1751,4777090000000,000,0015443312,8415449546,49145918/12/2025
1851,5530440000000,000,0015465913,4515422909,76147819/12/2025
1951,5508410000000,000,0015465252,5915417117,87149122/12/2025
2251,5892130000000,000,0015476763,9815461231,46150923/12/2025
2351,6202050000000,000,0015486061,7815387223,01150924/12/2025
2451,6990740000000,000,0015509722,2615411028,12150926/12/2025
2651,7223000000000,000,0015516690,2515382279,37152829/12/2025
2951,7727820000000,000,0015531834,8815421908,16156330/12/2025
3051,7622650000000,000,0015528679,5715398970,59160531/12/2025
3151,7170480000000,000,0015515114,6215384760,06160502/01/2026

C = Cancelado.