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Informe Diário

Competência: 02/01/2025
Nome do Fundo/Classe: INVESTO MARKETVECTOR BRAZIL GLOBAL EXPOSURE ETF - FUNDO DE INVESTIMENTO DE ÍNDICECNPJ: 45.814.375/0001-23
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
02131,6534800000002633069,600,0021064556,9120927757,81313503/01/2025
03129,6125080000000,000,0020738001,4120607962,22314306/01/2025
06130,4766800000000,000,0020876268,8320750264,28321007/01/2025
07131,0443950000000,000,0020967103,2720873604,63321408/01/2025
08129,6608810000000,000,0020745741,0020648043,09342809/01/2025
09129,7538110000000,000,0020760609,8420663387,73341910/01/2025
10129,2365930000000,000,0020677855,0320624890,15341013/01/2025
13129,1910570000000,000,0020670569,2120617580,75340814/01/2025
14128,7632250000000,000,0020602116,1520912737,83340315/01/2025
15131,2986540000000,000,0021007784,7821340091,67338616/01/2025
16128,7995830000000,000,0020607933,3020577118,57345117/01/2025
17130,7516200000000,000,0020920259,2320889717,55344920/01/2025
20131,5386320000000,000,0021046181,1521015877,96344521/01/2025
21131,8582380000000,000,0021097318,0821067108,33343622/01/2025
22130,6961870000000,000,0020911389,9920881517,23343623/01/2025
23131,2357160000000,000,0020997714,6920968021,69330924/01/2025
24130,8939060000000,000,0020943024,9620914293,34330527/01/2025
27132,0726410000000,000,0021131622,6521103444,97329928/01/2025
28131,1542640000000,000,0020984682,2620956604,79329529/01/2025
29130,4114350000000,000,0020865829,6020837701,10328830/01/2025
30133,1095170000000,000,0021297522,7521255870,96334531/01/2025
31131,6137120000000,000,0021058193,9521017663,64333803/02/2025

C = Cancelado.