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Informe Diário

Competência: 01/07/2025
Nome do Fundo/Classe: BTG PACTUAL TEVA DIVIDENDOS ATIVOS REAIS LISTADOS FUNDO DE ÍNDICECNPJ: 57.063.444/0001-93
Administrador: BTG PACTUAL SERVIÇOS FINANCEIROS S/A DTVMCNPJ: 59.281.253/0001-23
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
0110,9907158863520,000,002604041,312665852,1717002/07/2025
0210,8385655470001083856,550,003651848,733714450,8116303/07/2025
0311,0611812558380,000,003726854,863790367,5416504/07/2025
0411,0341634035830,000,003717751,713782275,1017907/07/2025
0710,8679523634150,000,003661750,063655945,1918208/07/2025
0810,7908091739110,000,003635758,133630864,0518409/07/2025
0910,6099195497010,000,003574810,803570827,0018510/07/2025
1010,5501860969060,000,003554684,753551610,0218511/07/2025
1110,4987149589610,000,003537342,533533308,1518614/07/2025
1410,4201028336920,000,003510855,673507729,6218515/07/2025
1510,4501972495260,000,003520995,413518777,2718516/07/2025
1610,4412497309570,001566187,461951793,251947312,8418817/07/2025
1710,4072752337620,000,001945442,371941838,4918618/07/2025
1810,3138101242890,000,001927970,841924926,6318721/07/2025
2110,3242666757500,000,001929925,491927786,7218522/07/2025
2210,2220021162130,000,001910809,081909546,3718523/07/2025
2310,3943853679010,000,001943032,851942645,8318924/07/2025
2410,3281908556000,000,001930659,041931148,3517225/07/2025
2510,2574464291610,000,001917434,721916508,9517328/07/2025
2810,1518534810740,000,001897696,121897646,1717429/07/2025
2910,2223964307240,000,001910882,791911315,6117530/07/2025
3010,2966413657120,000,001924761,471925725,1117931/07/2025
3110,1779736703700,000,001902578,801900138,1118001/08/2025

C = Cancelado.