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Informe Diário

Competência: 02/01/2025
Nome do Fundo/Classe: TREND ETF IFIX-L CLASSE DE ÍNDICE - RESPONSABILIDADE LIMITADACNPJ: 36.046.508/0001-78
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
0211,0767890000000,000,0032787293,9732543381,041678303/01/2025
0311,0756350000000,000,0032783880,3532517448,651678306/01/2025
0611,0825430000000,000,0032804325,9632537427,021681607/01/2025
0711,0647590000000,000,0032751686,5532579690,051681708/01/2025
0810,9588820000000,000,0032438291,9032290431,221683709/01/2025
0910,9034090000000,000,0032274090,1432035917,041683010/01/2025
1010,9367070000000,000,0032372652,7832210126,211684913/01/2025
1310,9106040000000,000,0032295389,3032316594,521687314/01/2025
1410,9064530000000,000,0032283101,2432292702,211694315/01/2025
1511,0067140000000,00220134,2832359739,3132326675,211702016/01/2025
1610,9797130000000,000,0032280355,3432229567,811704017/01/2025
1710,8227220000000,00216454,4431602346,8031563525,411707020/01/2025
2010,814896000000216297,920,0031795794,2831756287,691708321/01/2025
2110,7399320000000,000,0031575399,8331535980,361710622/01/2025
2210,7160810000000,000,0031505277,0331483782,261707123/01/2025
2310,6705260000000,000,0031371347,1431354040,391706324/01/2025
2410,6839540000000,000,0031410824,7731466147,651705927/01/2025
2710,6424650000000,000,0031288848,3831344519,521706328/01/2025
2810,5924310000000,000,0031141748,4031144571,691707929/01/2025
2910,5948160000000,00211896,3230936862,5130940034,191708630/01/2025
3010,677515000000213550,300,0031391895,2331395157,711707431/01/2025
3110,7619990000000,00215239,9831425036,2331428673,161704103/02/2025

C = Cancelado.