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Informe Diário

Competência: 03/08/2026
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
03124,34631800000018651947,700,005068820221,015069867293,976145504/08/2026
04124,40766100000018661149,150,005089981969,235091077703,956165505/08/2026
05124,47544600000024895089,200,005117650356,545118789074,076201106/08/2026
06124,4997310000000,000,005118648835,025119860670,076236707/08/2026
07124,62061700000031155154,250,005154774068,625155067977,746258410/08/2026
10124,63386100000012463386,100,005167785262,695168147940,026286411/08/2026
11124,70758600000012470758,600,005183312948,345183727917,756326412/08/2026
12124,77426800000012477426,800,005198561893,305199029215,296355113/08/2026
13124,82784000000012482784,000,005213276712,075213796354,376373914/08/2026
14124,90217800000018735326,700,005235116650,485235661111,876390917/08/2026
17125,04474500000012504474,500,005253596667,435254161125,416407418/08/2026
18125,1032570000000,000,005256054974,745256725722,066443319/08/2026
19125,2103980000000,000,005260556338,265261277466,656475720/08/2026
20125,28501100000043849753,850,005307540873,925308255326,136501221/08/2026
21125,3532770000000,000,005310432872,135311255295,886515724/08/2026
24125,43886600000025087773,200,005339146545,925339987628,836536325/08/2026
25125,54746200000025109492,400,005368878274,785369770648,596562426/08/2026
26125,60110200000025120220,400,005396292342,155397236426,626603427/08/2026
27125,6719990000000,000,005399338350,815400366018,176652028/08/2026
28125,69635100000018854452,650,005419239057,675420294967,076681131/08/2026
31125,7051140000000,000,005419616848,285420748196,526715601/09/2026

C = Cancelado.