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Informe Diário

Competência: 02/01/2025
Nome do Fundo/Classe: BTG PACTUAL TEVA DIVIDENDOS ATIVOS REAIS LISTADOS FUNDO DE ÍNDICECNPJ: 57.063.444/0001-93
Administrador: BTG PACTUAL SERVIÇOS FINANCEIROS S/A DTVMCNPJ: 59.281.253/0001-23
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
029,2254103210000,004151434,646337220,346343303,207303/01/2025
039,1177886278240,000,006263291,666269529,087306/01/2025
069,2218755570790,000,006334792,206372820,627307/01/2025
079,3138722909580,000,006397987,616396188,487408/01/2025
089,2140313875780,000,006329403,806328432,467409/01/2025
099,2106036610660,000,006327049,186326270,147410/01/2025
109,0979141455260,000,006249639,266249052,457413/01/2025
139,0661744633740,000,006227836,296224397,007514/01/2025
149,0848157000000,002271203,923969437,613966187,917515/01/2025
159,2600461081960,000,004046001,214042882,767516/01/2025
169,1304235570380,000,003989365,104022769,577617/01/2025
179,2439168525470,000,004038953,834036902,907620/01/2025
209,2844610641040,000,004056668,864054866,057621/01/2025
219,3167216565090,000,004070764,514073650,167622/01/2025
229,3314316974530,000,004077191,784073819,837623/01/2025
239,2524875458600,000,004042698,644039498,917624/01/2025
249,2214514621300,000,004029138,014030530,857627/01/2025
279,4624100869470,000,004134420,304135984,137628/01/2025
289,4758930004970,000,004140311,404142048,937729/01/2025
299,4351820253080,000,004122523,524126442,327730/01/2025
309,6952193376070,000,004236141,884236182,737731/01/2025
319,6336271477650,000,004209230,344208967,517703/02/2025

C = Cancelado.