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Informe Diário

Competência: 02/06/2025
Nome do Fundo/Classe: IT NOW S&P® KENSHO® HYDROGEN FUNDO DE ÍNDICE INVESTIMENTO SUSTENTÁVELCNPJ: 42.264.597/0001-21
Administrador: ITAU UNIBANCO S.A.CNPJ: 60.701.190/0001-04
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
0231,2379750000000,000,006247595,016248285,3642804/06/2025
0332,0928526000000,000,006418570,526416942,1942905/06/2025
0431,9783520000000,000,006395670,406394651,7442605/06/2025
0531,8646996000000,000,006372939,926373891,3942606/06/2025
0632,5942704000000,000,006518854,096517953,9642609/06/2025
0933,0305582000000,000,006606111,646605424,4542310/06/2025
1033,6840304000000,000,006736806,096734326,0942312/06/2025
1133,7333684000000,000,006746673,696746075,5842213/06/2025
1233,5368612000000,000,006707372,246703679,2542213/06/2025
1332,9848342000000,000,006596966,856595157,8942217/06/2025
1633,2138982000000,000,006642779,646643201,0542217/06/2025
1732,1622712000000,000,006432454,256428034,4842220/06/2025
1832,1249158000000,000,006424983,156421895,0842320/06/2025
2031,9163010000000,000,006383260,216382032,8942125/06/2025
2331,9093543000000,000,006381870,866382509,4442225/06/2025
2432,5902090000000,000,006518041,816512618,8742127/06/2025
2532,3097635000000,000,006461952,716457270,0542127/06/2025
2633,0113928000000,000,006602278,566598424,1142027/06/2025
2732,9700849000000,000,006594016,986590945,9741703/07/2025
3032,9809377000000,000,006596187,556593947,6041503/07/2025

C = Cancelado.