Imprimir

Informe Diário

Competência: 03/02/2025
Nome do Fundo/Classe: TREND ETF NASDAQ 100 CLASSE DE ÍNDICE INVESTIMENTO NO EXTERIOR - RESPONSABILIDADE LIMITADACNPJ: 35.578.672/0001-63
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
0317,2731930000000,00863659,65672790851,09673004842,834110904/02/2025
0417,3362930000000,00866814,65674381784,30674605532,374131605/02/2025
0517,4454880000000,000,00678629483,46678864750,624138406/02/2025
0617,4437950000000,000,00678563632,66678808676,653984307/02/2025
0717,3013980000000,000,00673024399,16673108472,023982310/02/2025
1017,5196730000007007869,200,00688523135,95688608643,113979611/02/2025
1117,43266600000013074499,500,00698178256,34698266763,623981812/02/2025
1217,4314580000000,000,00698129881,03698243416,433983113/02/2025
1317,7442660000000,000,00710657846,38710709953,253985614/02/2025
1417,6114150000000,000,00705337171,95705469743,053985617/02/2025
1717,5988410000000,000,00704833593,14704959554,923982718/02/2025
1817,5813520000000,000,00704133130,74704223139,453985219/02/2025
1917,6573470000004414336,750,00711591099,35711731907,843977420/02/2025
2017,5258730000004381468,250,00710674142,58710825240,863975521/02/2025
2117,2540970000000,000,00699653645,17699819316,983977924/02/2025
2417,0909830000000,000,00693039357,28693214935,253979325/02/2025
2516,894827000000844741,350,00685929958,22686114527,473984426/02/2025
2617,0511790000000,000,00692277854,52692395461,693989927/02/2025
2716,6820320000000,000,00677290501,06677494797,034001228/02/2025
2817,1601750000000,000,00696703098,92696907801,443999605/03/2025

C = Cancelado.