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Informe Diário

Competência: 01/12/2025
Nome do Fundo/Classe: BTG PACTUAL ESG FUNDO DE ÍNDICE S&P/B3 BRAZIL ESGCNPJ: 37.843.293/0001-89
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
01119,9138530808280,000,0017987077,9617927624,8943302/12/2025
02121,8101215657220,000,0018271518,2318212564,3043003/12/2025
03122,2970124509900,000,0018344551,8718285603,8343104/12/2025
04124,0045805355180,000,0018600687,0818542534,0443105/12/2025
05117,8124157537390,000,0017671862,3617615369,8242908/12/2025
08118,2210526386410,000,0017733157,9017677012,8242709/12/2025
09117,7135014567950,000,0017657025,2217601138,6842710/12/2025
10118,4407103417490,000,0017766106,5517710621,4042611/12/2025
11118,5370892933180,000,0017780563,3917728000,2642612/12/2025
12119,5914462448120,000,0017938716,9417886291,4942515/12/2025
15120,4999753397070,000,0018074996,3018022980,9742516/12/2025
16117,4382261086610,000,0017615733,9217565297,0342517/12/2025
17116,0562328508290,000,0017408434,9317358158,7442518/12/2025
18116,3962285931370,000,0017459434,2917411006,2742619/12/2025
19116,4795617352920,000,0017471934,2617432947,8142622/12/2025
22115,5550438641800,000,0017333256,5817294773,2442623/12/2025
23117,4728222364080,000,0017620923,3417583075,3842524/12/2025
24117,4701706756030,000,0017620525,6017583346,4642526/12/2025
26118,0207999808630,000,0017703120,0017658309,7642629/12/2025
29117,7349930864250,000,0017660248,9617615593,6742630/12/2025
30118,5302098587130,000,0017779531,4817743786,0242531/12/2025
31118,5278712309480,000,0017779180,6817744107,1842502/01/2026

C = Cancelado.