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Informe Diário

Competência: 02/01/2025
Nome do Fundo/Classe: BB ETF ÍNDICE DIVERSIDADE B3 INVESTIMENTO SUSTENTÁVEL FUNDO DE ÍNDICECNPJ: 52.203.750/0001-64
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
029,4707537110,000,0061559899,1261569589,1313103/01/2025
039,3660097620,000,0060879063,4564579023,7013106/01/2025
069,5340441380,000,0061971286,9065671231,7013207/01/2025
079,6043110660,000,0062428021,9362755868,8213213/01/2025
089,4651231970,000,0061523300,7861851202,0013209/01/2025
099,4733802680,000,0061576971,7461586561,5513110/01/2025
109,3702524650,000,0060906641,0260916283,9113113/01/2025
139,3698242000,000,0060903857,3060925455,3013114/01/2025
149,4206459920,000,0061234198,9561243941,2113115/01/2025
159,7220650370,000,0063193422,7463203259,7413116/01/2025
169,5739231940,000,0062230500,7662240334,0313120/01/2025
179,6336856720,000,0062618956,8762628895,6213120/01/2025
209,6660328430,000,0062829213,4862839258,4213121/01/2025
219,7155150680,000,0063150847,9463161007,8913122/01/2025
229,7380285860,000,0063297185,8163307461,8013123/01/2025
239,6783294340,000,0062909141,3262919541,5113124/01/2025
249,6854576630,000,0062955474,8162965986,6612827/01/2025
279,9456028820,000,0064646418,7364657033,4912728/01/2025
289,8905649540,000,0064288672,2064299414,4512829/01/2025
299,8435452820,000,0063983044,3363993911,7012930/01/2025
3010,1465273800,000,0065952427,9765963392,6912931/01/2025
3110,0667936620,002516698,4162917460,3965445253,7413003/02/2025

C = Cancelado.