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Informe Diário

Competência: 03/02/2025
Nome do Fundo/Classe: BTG PACTUAL TEVA AÇÕES COMMODITIES BRASIL FUNDO DE ÍNDICECNPJ: 43.391.410/0001-13
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
0313,6513319189990,000,0017809773,3517814695,87102404/02/2025
0413,4249663646370,000,0017514452,7717520007,55102305/02/2025
0513,3871568404700,000,0017465125,7817461510,52102206/02/2025
0613,5071214685830,000,0017621633,8017619457,27102307/02/2025
0713,3157485097580,000,0017371965,1917370794,26102410/02/2025
1013,4780884615270,000,0017583756,8117583214,11102411/02/2025
1113,4596399679450,000,0017559688,5817554262,69102612/02/2025
1213,1644370111410,000,0017174561,4817169946,36102513/02/2025
1313,1514621650170,000,0017157634,2717145118,57102214/02/2025
1413,4169032145810,000,0017503933,4417492355,96101817/02/2025
1713,3372163346670,000,0017399972,5017399478,28018/02/2025
1813,3703962019530,000,0017443259,5517443712,25101719/02/2025
1913,3191421736480,000,0017376392,6217377992,14102020/02/2025
2013,3205631812550,000,0017378246,5017380771,35102021/02/2025
2113,2990575927210,000,0017350189,9217353725,56102024/02/2025
2413,1340677965510,000,0017134941,2617139752,04102125/02/2025
2513,1094563256850,000,0017102832,6917108726,32101826/02/2025
2613,0816891571330,000,0017066607,1417063858,51102027/02/2025
2713,0219009602040,000,0016988606,3916986740,21102328/02/2025
2812,7887988353680,000,0016684497,1616694133,67102505/03/2025

C = Cancelado.