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Informe Diário

Competência: 02/01/2026
Nome do Fundo/Classe: BB ETF RENDA FIXA PRÉ ÍNDICE FUTURO DE TAXAS DE JUROS S&P/B3 FUNDO DE ÍNDICE RESP LIMITADACNPJ: 26.845.780/0001-64
Administrador: BB GESTAO DE RECURSOS DTVM S.ACNPJ: 30.822.936/0001-69
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
0218,5777190,000,00111466314,00111490981,30646705/01/2026
0518,6120430,000,00111672256,69111684680,94648706/01/2026
0618,6317810,000,00111790683,52111803207,35648607/01/2026
0718,6347610,000,00111808567,58111820368,85650108/01/2026
0818,6435500,000,00111861300,27111873285,43651909/01/2026
0918,6192110,000,00111715263,45111727432,94652912/01/2026
1218,6581750,000,00111949051,32111961402,71653413/01/2026
1318,6833590,000,00112100153,91112112691,81655214/01/2026
1418,6552340,000,00111931406,54111944135,83656615/01/2026
1518,6481120,000,00111888674,86111901228,57657216/01/2026
1618,5918990,000,00111551396,50111564133,40657619/01/2026
1918,6215240,000,00111729145,44111742061,88658520/01/2026
2018,5968120,000,00111580873,77111593975,97659521/01/2026
2118,6528180,000,00111916910,67111930194,67660822/01/2026
2218,7003130,000,00112201876,63112215348,34662123/01/2026
2318,7222240,000,00112333342,09112347001,01662526/01/2026
2618,7527800,000,00112516677,35112530521,71662527/01/2026
2718,8205210,000,00112923124,63112937183,93664128/01/2026
2818,8659370,000,00113195622,00113209857,22664129/01/2026
2918,9254420,000,00113552654,70113567061,48668630/01/2026
3018,9302530,000,00113581517,48113595851,06669602/02/2026

C = Cancelado.