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Informe Diário

Competência: 02/06/2025
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
0217,03547700000012776607,750,00757226969,26757394723,774026603/06/2025
0317,01802700000022123435,100,00778574742,28778743633,904079304/06/2025
0417,1000410000001710004,100,00784036894,41784239257,844082705/06/2025
0516,81034600000010926724,900,00781681066,51781885197,184079206/06/2025
0616,8846040000005909611,400,00791043691,17791088634,944079309/06/2025
0916,88976700000016889767,000,00808175342,41808220300,184082810/06/2025
1017,0357840000000,000,00815162271,44815236269,364081611/06/2025
1116,89187900000016047285,050,00824323680,23824393289,614112912/06/2025
1216,930683000000846534,150,00827063863,22827160640,644126913/06/2025
1316,72876200000017565200,100,00834765245,72834856346,494131416/06/2025
1616,8076380000000,00840381,90837860736,81837979291,124130317/06/2025
1716,6710840000000,000,00831053526,09831186091,264133318/06/2025
1816,65468600000014156483,100,00844392591,03844523717,424133520/06/2025
2016,6543160000008327158,000,00852700956,07852849570,644136023/06/2025
2316,7665150000000,000,00858445584,45857976926,604134424/06/2025
2417,0515300000000,000,00873038333,71872580760,814132825/06/2025
2517,1906540000000,00859532,70879301940,85878803417,024157626/06/2025
2617,1989200000000,000,00879724752,90879294014,774152627/06/2025
2717,238670000000861933,500,00882619923,98882153362,054147830/06/2025
3017,1613200000000,000,00878659565,14878244642,704147601/07/2025

C = Cancelado.