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Informe Diário

Competência: 01/10/2024
Nome do Fundo/Classe: ETF BRADESCO IBOVESPA FUNDO DE ÍNDICECNPJ: 32.203.211/0001-18
Administrador: BANCO BRADESCO S.A.CNPJ: 60.746.948/0001-12
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
01134,55572030,000,001527207425,541512724317,42150502/10/2024
02135,5929730,000,001538980243,641524487911,03150503/10/2024
03133,71978690,000,001517719581,511502944373,76150604/10/2024
04133,84365360,000,001519125469,201503481599,95150407/10/2024
07134,07203130,000,001521717556,171507735625,82108/10/2024
08133,55797560,000,001515883024,171504223010,78149909/10/2024
09131,98444120,000,001498023408,361486492422,49149510/10/2024
10132,38171110,000,001502532421,341488789492,34111/10/2024
11132,01489320,000,001498369038,071484736964,24149214/10/2024
14133,04374730,000,001510046532,781496153951,77149415/10/2024
15133,08058160,000,001510464601,511496716117,51149316/10/2024
16133,79638410,000,001518588959,701504905430,53117/10/2024
17132,82758450,000,001507593084,841492973079,85118/10/2024
18132,53051240,000,001504221316,361489599606,84121/10/2024
21132,38942880,000,001502620017,971488079775,08122/10/2024
22131,97198070,000,001497881980,961483323096,04123/10/2024
23131,24121730,000,001489587816,481475191555,17149224/10/2024
24132,08841030,000,001499203457,551484605444,65149325/10/2024
25131,91169210,000,001497197706,021482710422,86149328/10/2024
28133,25059390,000,001512394241,451497731583,93149329/10/2024
29132,76019490,000,001506828212,601492293211,22149230/10/2024
30132,66768350,000,001505778207,781491233345,30149031/10/2024
31131,72661150,000,001495097041,071480676657,97149001/11/2024

C = Cancelado.