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Informe Diário

Competência: 01/07/2025
Nome do Fundo/Classe: BB ETF ÍNDICE DIVERSIDADE B3 INVESTIMENTO SUSTENTÁVEL FUNDO DE ÍNDICE RESPONSABILIDADE LIMITADACNPJ: 52.203.750/0001-64
Administrador: BB GESTAO DE RECURSOS DTVM S.ACNPJ: 30.822.936/0001-69
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
0111,8097703370,000,0067906179,4467912799,8513502/07/2025
0211,6449365790,000,0066958385,3366965311,7013604/07/2025
0311,8277387550,000,0068009497,8468016087,0213604/07/2025
0411,8401722900,000,0068080990,6768087502,0113707/07/2025
0711,6952829250,000,0067247876,8267254429,5613708/07/2025
0811,6661940310,000,0067080615,6867087213,9513709/07/2025
0911,5151241500,000,0066211963,8666218621,3713710/07/2025
1011,4322045300,000,0065735176,0566238459,0013811/07/2025
1111,3352404820,000,0065177632,7765680959,1213814/07/2025
1411,2622135500,000,0064757727,9164764506,5213615/07/2025
1511,3251888520,000,0065119835,9065126678,2213616/07/2025
1611,3332691440,000,0065166297,5865173194,0913617/07/2025
1711,3474348400,000,0065247750,3365254692,9813718/07/2025
1811,1007559040,000,0063829346,4563836339,6613721/07/2025
2111,1195471880,000,0063937396,3363944428,8013722/07/2025
2211,0492931760,000,0063533435,7663540594,4313624/07/2025
2311,2014894120,000,0064408564,1264419286,7713924/07/2025
2411,0984074020,000,0063815842,5663823027,8114125/07/2025
2511,0845052940,000,0063735905,4463743137,3213928/07/2025
2810,9234435880,000,0062809800,6362817032,6913829/07/2025
2910,9799730300,000,0063134844,9263142167,8113830/07/2025
3011,0904050330,000,0063769828,9463777202,3913831/07/2025
3110,9650875930,000,0063049253,6663056660,0613701/08/2025

C = Cancelado.