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Informe Diário

Competência: 02/05/2025
Nome do Fundo/Classe: NU IBOV SMART LOW VOLATILITY B3 CLASSE DE ÍNDICE - RESPONSABILIDADE LIMITADACNPJ: 55.705.668/0001-26
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
02107,8694390000000,000,0010786943,989196845,66182305/05/2025
05106,9984540000000,000,0010699845,499179018,60182706/05/2025
06106,7290270000000,000,0010672902,739227135,46183607/05/2025
07106,8730100000000,000,0010687301,069179219,14183608/05/2025
08108,3011320000000,000,0010830113,289240343,97183209/05/2025
09108,7493000000000,000,0010874930,049222122,03184012/05/2025
12107,8258610000005391293,050,0016173879,1614540396,02184513/05/2025
13109,5288140000000,000,0016429322,2314794572,18184714/05/2025
14109,7730660000000,000,0016465959,9414769435,78199015/05/2025
15110,4774690000005523873,450,0022095493,9419707676,48201716/05/2025
16109,9887320000000,005499436,6016498309,9413453475,76202019/05/2025
19110,3100230000000,000,0016546503,5013395432,52202520/05/2025
20111,0048100000000,000,0016650721,5713650123,98203321/05/2025
21109,5230610000000,000,0016428459,2213259899,84203822/05/2025
22108,8144240000000,000,0016322163,6813344946,62204023/05/2025
23109,4644970000000,000,0016419674,5613189509,48204326/05/2025
26109,8953460000000,000,0016484302,0213175902,08204927/05/2025
27110,9416230000000,000,0016641243,4513194091,42205328/05/2025
28110,2774580000000,000,0016541618,7212874348,63205329/05/2025
29110,3051690000000,000,0016545775,3812482503,95204930/05/2025
30109,4759790000000,000,0016421396,9012368444,50205002/06/2025

C = Cancelado.