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Informe Diário

Competência: 01/12/2025
Nome do Fundo/Classe: CLASSE A DA INVESTO ETF SOLACTIVE GOLD SPOT INDEX DE FUNDO DE ÍNDICE RESPONSABILIDADE LIMITADACNPJ: 43.210.419/0001-80
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
01106,5543510000000,000,0078155805,3678194843,90370902/12/2025
02105,4047240000000,000,0077312573,2477354427,56371403/12/2025
03104,7659880000000,000,0076844071,1976887478,23372704/12/2025
04104,9242950000000,000,0076960186,9877005122,37373305/12/2025
05107,3288810000000,000,0078723909,5678753085,17376908/12/2025
08106,5894930000000,000,0078181581,3678212325,87377609/12/2025
09107,5474430000000,000,0078884220,7978916503,06377110/12/2025
10108,8238730000000,000,0079820461,1379854278,88377311/12/2025
11108,3900820000000,000,0079502282,7179537712,68378212/12/2025
12108,9699750000000,000,0079927624,1979956563,38379015/12/2025
15109,4223600000000,000,0080259440,8980289523,44379316/12/2025
16110,2668950000000,000,0080878892,8980910530,00380417/12/2025
17112,4431650000000,000,0082475149,9782508338,61381418/12/2025
18112,0459540000000,000,0082183802,7382218599,55382319/12/2025
19112,5795580000000,000,0082575191,9682546437,91383622/12/2025
22116,3549860000000,000,0085344404,4085316362,81383923/12/2025
23116,8290310000000,000,0085692108,5085666307,12384924/12/2025
24116,4211890000000,000,0085392962,7885369444,58384926/12/2025
26117,9056150000000,000,0086481764,3886525887,55385129/12/2025
29113,4361140000000,000,0083203461,2683249229,82387330/12/2025
30111,8157450000000,000,0082014948,3082061177,87388131/12/2025
31111,0377560000000,000,0081444306,0281492134,60388102/01/2026

C = Cancelado.