Imprimir

Informe Diário

Competência: 02/01/2025
Nome do Fundo/Classe: INVESTO TEVA TESOURO SELIC ETF - FUNDO DE INVESTIMENTO DE ÍNDICECNPJ: 45.823.821/0001-66
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
02127,36653700000010189322,960,00594483311,55594734965,011283303/01/2025
03127,4481990000000,000,00594864466,72595117576,681285806/01/2025
06127,5637110000000,000,00595403621,10595665003,591290107/01/2025
07127,66538200000012766538,200,00608644709,83608929339,321294108/01/2025
08127,7170430000000,000,00608891002,31609064042,501273209/01/2025
09127,7690450000002555380,900,00611694303,08611880811,201284410/01/2025
10127,8255190000000,000,00611964674,18612157589,481285413/01/2025
13127,8833780000000,000,00612241674,32612444548,401284814/01/2025
14127,9480540000000,000,00612551310,06612764146,441289415/01/2025
15128,0100530000000,000,00612848129,49613069172,401291416/01/2025
15128,0100530000000,000,00612848129,49613069172,401291416/01/2025
15128,0100530000000,000,00612848129,49613069172,401291416/01/2025
16128,0684000000003842052,000,00616969516,85617192943,981305217/01/2025
17128,1249190000000,000,00617241799,15617482394,421305120/01/2025
20128,1837100000000,000,00617525023,02617775424,081303621/01/2025
21128,2421390000000,000,00617806504,62618066715,061307222/01/2025
22128,2992390000000,000,00618081584,33618210236,231290823/01/2025
23128,3561980000000,000,00618355983,70618494452,051293124/01/2025
24128,4118930000000,000,00618624295,54618772583,821293327/01/2025
27128,4664660000000,000,00618887199,77619045311,381294828/01/2025
28128,5234130000000,000,00619161544,44619307444,281296029/01/2025
29128,5770040000000,000,00619419718,04619573978,801298230/01/2025
30128,6320970000000,000,00619685129,37619847754,331321231/01/2025
31128,6931510000000,000,00619979255,65620150248,241320303/02/2025

C = Cancelado.