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Informe Diário

Competência: 02/06/2025
Nome do Fundo/Classe: NU RENDA IBOV SMART DIVIDENDOS FUNDO DE INDICECNPJ: 52.116.337/0001-62
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
02109,5826850000000,000,0076707879,7257525254,201582103/06/2025
03110,3140970000000,000,0077219868,1557985940,711588504/06/2025
04109,5089630000000,000,0076656274,1757325029,771593205/06/2025
05109,2140600000000,000,0076449842,0057475101,711598306/06/2025
06108,9606260000000,000,0076272438,5857012003,031601709/06/2025
09108,7597530000000,000,0076131827,3856423358,031603910/06/2025
10109,0017930000000,000,0076301255,2455769279,981606811/06/2025
11109,1677390000000,000,0076417417,4757563748,351609712/06/2025
12109,2620670000000,000,0076483447,4157045616,521613213/06/2025
13108,5662530000000,000,0075996377,5755767106,871613416/06/2025
16110,3253480000000,000,0077227743,8857346447,091614517/06/2025
17110,0100380000000,000,0077007026,6955933128,191616718/06/2025
18109,6797560000000,000,0076775829,5456559840,781617020/06/2025
20108,1476880000005407384,400,0081110766,6561331592,481617323/06/2025
23108,0100240000000,000,0081007518,1261639391,831619024/06/2025
24108,2296110000000,000,0081172208,4561840844,091625025/06/2025
25106,9609760000000,000,0080220732,2760843093,211631726/06/2025
26107,9274010000000,000,0080945551,0661537635,861634227/06/2025
27107,6453800000000,000,0080734035,1961126775,101636530/06/2025
30109,1327660000000,000,0081849575,0261403777,131637401/07/2025

C = Cancelado.