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Informe Diário

Competência: 01/12/2025
Nome do Fundo/Classe: FUNDO DE INVESTIMENTO DE ÍNDICE - CLASSE DE INVESTIMENTO ETF BRADESCO IBOVESPA - RESP LIMITADACNPJ: 32.203.211/0001-18
Administrador: BANCO BRADESCO S.A.CNPJ: 60.746.948/0001-12
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
01161,95391820,000,001878665452,061866300944,47102/12/2025
02164,49158680,000,001908102407,191895942396,22103/12/2025
03165,17030,000,001915975480,641902855254,25104/12/2025
04167,92842770,000,001947969762,031934283036,91105/12/2025
05160,69251520,000,001864033177,341850344438,56135308/12/2025
08161,53160,000,001873766560,571857413356,79135608/12/2025
09161,3191930,000,001871302638,811853904997,50135409/12/2025
10162,45225480,000,001884446156,321856619562,42134710/12/2025
11162,56740250,000,001885781869,091855931090,41134612/12/2025
12164,24161230,000,001905202703,271867146692,57134913/12/2025
15165,995930,000,001925552788,031889180547,69134616/12/2025
16162,0025810,000,001879229949,351838750550,85135016/12/2025
17160,73291980,000,001864501869,811824116669,87135017/12/2025
18161,35143470,000,001871676643,191830647265,43135118/12/2025
19161,92797950,000,001878364562,771830647265,43135319/12/2025
22161,58725610,000,001874412171,151841910148,24134923/12/2025
23163,99153930,000,001902301856,571824548690,38134924/12/2025
24163,99104510,000,001902296123,361859407772,86134924/12/2025
26164,46629170,000,001907808984,141864758727,06134526/12/2025
29164,04009440,000,001902865095,531865142032,47134830/12/2025
30164,72759280,000,001910840076,681877316133,70134831/12/2025
31164,72572030,000,001910818355,751877321538,00134802/01/2026

C = Cancelado.