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Informe Diário

Competência: 02/01/2025
Nome do Fundo/Classe: TREND ETF LBMA OURO CLASSE DE ÍNDICE INVESTIMENTO NO EXTERIOR - RESPONSABILIDADE LIMITADACNPJ: 37.985.763/0001-49
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
0217,1802050000000,000,00955219422,87955464025,965073803/01/2025
0317,0878430000003417568,600,00953501659,06953757820,545088406/01/2025
0616,8942810000001689428,100,00944390324,26944595304,975099607/01/2025
0716,9321680000005926258,800,00952434439,18952715034,415107808/01/2025
0817,0783890000000,000,00960659375,67960725257,795123809/01/2025
0916,9173580000000,00845867,90950755533,14950834181,085132710/01/2025
1017,2169900000000,00860849,50966734015,86966825169,295137313/01/2025
1316,9734690000006789387,600,00959849695,52959853446,075147514/01/2025
1416,9774890000000,000,00960077004,59960193735,815165715/01/2025
1517,0317380000005109521,400,00968254305,07968382752,645182816/01/2025
1617,250221000000862511,050,00981537552,94981679663,455190217/01/2025
1717,1664490000000,000,00976770970,84976926255,855193320/01/2025
2017,1065040000000,000,00973360070,14973528343,715205321/01/2025
2117,3003400000000,00865017,00983524301,32983705341,755210122/01/2025
2217,1349460000000,004283736,50969837925,20970031416,155215523/01/2025
2317,0155390000004253884,750,00967333386,32967540192,955219124/01/2025
2417,1271130000001712711,300,00975389090,90975609069,615226427/01/2025
2716,9775510000001697755,100,00968569257,03968802168,905230128/01/2025
2816,98765100000013590120,800,00982735632,55982980435,525232229/01/2025
2916,93979400000026256680,700,001006223766,741006480808,155242430/01/2025
3017,174276000000858713,800,001021010725,221021283039,165250231/01/2025
3117,14647100000020575765,200,001039933455,801040007931,075258503/02/2025

C = Cancelado.