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Informe Diário

Competência: 02/01/2026
Nome do Fundo/Classe: INVESTO ETF MARKETVECTOR BRAZIL TREASURY 760 DAY TARGET DURATION CLASSE DE ÍNDICE - RESP LIMITADACNPJ: 56.176.507/0001-55
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
02115,54110100000046216440,400,002169137893,602169475192,762659405/01/2026
05115,5653610000000,000,002169593337,862170085561,322696506/01/2026
06115,59318700000034677956,100,002204793701,212205206739,652729307/01/2026
07115,6520230000000,000,002205915931,312206450326,002730108/01/2026
08115,7154170000000,000,002207125084,452207340497,532757709/01/2026
09115,73837800000034721513,400,002242284555,732242421981,302775012/01/2026
12115,7911560000000,000,002243307051,532243566726,422793613/01/2026
13115,83742800000037067976,960,002281271503,602281448930,302811214/01/2026
14115,8094430000000,000,002280720365,332281026394,002826515/01/2026
15115,9080620000000,000,002282662538,252282986415,062839116/01/2026
16115,97134600000028992836,500,002312901684,882313166061,722855519/01/2026
19116,0104210000000,000,002313680971,732314049126,232875220/01/2026
20116,07306900000046429227,600,002361359638,442361620466,502916721/01/2026
21116,14996600000029037491,500,002391961505,612392293909,892942922/01/2026
22116,28508200000058142541,000,002452886588,452453161676,952966823/01/2026
23116,4131690000000,000,002455588426,982456048267,933001626/01/2026
26116,5066730000000,000,002457560779,592458066881,323030427/01/2026
27116,6090970000000,000,002459721278,202460106595,573066228/01/2026
28116,6864830000000,000,002461353633,642461762632,123100029/01/2026
29116,80731800000031537975,860,002495440472,672495788485,123124030/01/2026
30116,8667080000000,000,002496709265,642497165982,093151602/02/2026

C = Cancelado.