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Informe Diário

Competência: 02/05/2024
Nome do Fundo: TREND ETF MSCI USA ESG FUNDO DE INVESTIMENTO DE ÍNDICE - INVESTIMENTO NO EXTERIORCNPJ: 40.953.254/0001-49
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
029,7318040000000,000,0041846755,9841796977,5824403/05/2024
039,7750000000000,000,0042032500,1341983732,2124406/05/2024
069,876370000000493818,500,0042962211,0042914010,1224507/05/2024
079,9012350000000,000,0043070373,4743022884,4724408/05/2024
089,9445080000000,000,0043258609,0143203093,5524309/05/2024
0910,1062840000000,00505314,2043457019,7243401221,9024310/05/2024
1010,1386990000000,000,0043596406,9643527006,0924313/05/2024
1310,1301750000000,00506508,7543053244,9342984069,2924014/05/2024
1410,1424310000000,000,0043105329,8143043472,2824015/05/2024
1510,2892770000000,000,0043729425,6843668206,4624016/05/2024
1610,2362720000000,000,0043504157,5343443762,9923917/05/2024
1710,2011510000000,000,0043354891,9443295400,3823720/05/2024
2010,2203460000000,000,0043436468,6143377676,1223921/05/2024
2110,2555770000000,000,0043586202,4443528077,6723922/05/2024
2210,2961070000000,000,0043758456,1043700786,0224223/05/2024
2310,2285830000000,000,0043471478,5943414438,0424124/05/2024
2410,3221170000000,000,0043868996,3643812582,7824027/05/2024
2710,3255350000000,000,0043883525,4143827833,2624128/05/2024
2810,3031580000000,000,0043788421,2343733601,9124129/05/2024
2910,3181520000000,00515907,6043336239,7643279468,7123931/05/2024
3110,4035200000000,000,0043694786,0143639860,7924003/06/2024

C = Cancelado.