Imprimir

Informe Diário

Competência: 02/06/2025
Nome do Fundo/Classe: INVESTO ETF MARKETVECTOR BRAZIL TREASURY 760 DAY TARGET DURATION CLASSE DE ÍNDICE - RESP LIMITADACNPJ: 56.176.507/0001-55
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
02106,70972900000010670972,900,00571295505,55571465320,89722803/06/2025
03106,7628370000000,000,00571579827,94571653851,99729004/06/2025
04106,8464080000000,000,00572027245,99572106887,37732605/06/2025
05106,87834700000017100535,520,00589298776,93589544551,06735306/06/2025
06106,9296520000000,000,00589581657,32589589500,29739309/06/2025
09106,9535950000000,000,00589713671,53589727285,41742310/06/2025
10106,9646960000000,000,00589774881,30589794267,22743811/06/2025
11107,0558740000007493911,180,00597771523,30597869350,38747312/06/2025
12107,1085850000000,000,00598065849,22598097804,88752313/06/2025
13107,1926760000000,000,00598535389,49598571335,93754016/06/2025
16107,2842690000000,000,00599046819,02599088615,65757417/06/2025
17107,3749510000000,000,00599553166,70599600817,89757718/06/2025
18107,4838680000000,000,00600161327,91600214837,98763120/06/2025
20107,6198980000005380994,900,00606301876,16606407623,81765923/06/2025
23107,6443340000000,000,00606439546,99606504837,57768424/06/2025
24107,6166220000000,000,00606283423,76606354631,97771325/06/2025
25107,6407680000000,000,00606419455,40606496579,91772126/06/2025
26107,7450460000000,000,00607006931,40607089973,37778527/06/2025
27107,8502460000000,000,00607599598,99607684763,42780330/06/2025
30108,0007550000000,000,00608447528,15608538620,30786501/07/2025

C = Cancelado.