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Informe Diário

Competência: 02/01/2025
Nome do Fundo/Classe: INVESTO MARKETVECTOR BRAZIL DOMESTIC EXPOSURE ETF - FUNDO DE INVESTIMENTO DE ÍNDICECNPJ: 45.823.539/0001-89
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
0296,4798750000000,000,007718390,067637612,38292203/01/2025
0396,1514490000000,000,007692115,987610942,76292006/01/2025
0697,5377590000002926132,770,0010729153,5010637328,01291407/01/2025
0798,4191180000000,000,0010826103,0610733388,90291708/01/2025
0896,7888610000000,000,0010646774,7310561004,01313509/01/2025
0997,0931920000000,000,0010680251,1910594869,00312110/01/2025
1096,3067490000000,000,0010593742,4910506432,26311113/01/2025
1396,1882920000000,000,0010580712,2210497122,27310514/01/2025
1496,4679540000000,000,0010611475,0010616574,24310115/01/2025
1599,7417830000000,000,0010971596,2310976361,55308916/01/2025
1698,7137340000000,000,0010858510,7410778756,68315317/01/2025
1799,1924060000000,000,0010911164,7610832453,98315220/01/2025
2099,4865650000000,000,0010943522,2410864829,08314521/01/2025
2199,9724470000000,000,0010996969,2210920249,90313722/01/2025
22100,3631820000000,000,0011039950,0710963287,86313523/01/2025
23100,0192430000000,000,0011002116,7310923641,78318424/01/2025
24100,1179090000000,000,0011012970,0010925917,67317727/01/2025
27102,4770990000000,000,0011272480,8911183921,84317528/01/2025
28102,2777260000000,000,0011250549,9511172229,91317029/01/2025
29101,8736850000000,000,0011206105,3911130172,77316430/01/2025
30105,3710340000000,000,0011590813,8011496893,19322131/01/2025
31104,4847650000000,000,0011493324,2211401987,77321403/02/2025

C = Cancelado.