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Informe Diário

Competência: 01/07/2025
Nome do Fundo/Classe: INVESTO TEVA TESOURO SELIC ETF CLASSE DE ÍNDICE - RESPONSABILIDADE LIMITADACNPJ: 45.823.821/0001-66
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
01135,5254980000000,000,001035075991,931035449435,391557902/07/2025
02135,6033540000000,000,001035670617,201036057548,081560503/07/2025
03135,6789470000000,000,001036247961,101036648773,561563604/07/2025
04135,7538560000000,000,001036820072,011037234773,271382907/07/2025
07135,8284540000000,000,001037389819,431037643350,321386108/07/2025
08135,9025030000000,000,001037955370,411038217879,361387409/07/2025
09135,9764750000000,000,001038520331,071038796750,161389010/07/2025
10136,0488430000000,000,001039073037,671039363373,961389711/07/2025
11136,1216330000000,000,001039628973,101039933233,501389614/07/2025
14136,1966300000000,000,001040201759,331040283042,811390315/07/2025
15136,2717040000000,000,001040775142,481040869977,451391116/07/2025
16136,3472990000000,0020452094,851020900401,991020981591,971389417/07/2025
17136,4259220000000,000,001021489094,091021610797,941388918/07/2025
18136,5037440000000,000,001022071783,201022206804,631388221/07/2025
21136,5787940000000,000,001022633717,221022782063,521386722/07/2025
22136,6541260000000,000,001023197766,991023359445,181386723/07/2025
23136,7299180000000,000,001023765263,181023940280,301390824/07/2025
24136,8046260000002736092,520,001027060726,101027252818,011396925/07/2025
25136,8793980000000,000,001027622082,301027823858,981398228/07/2025
28136,9530020000000,000,001028174660,351028389831,271398529/07/2025
29137,0278210000005481112,840,001034217475,401034453486,681400430/07/2025
30137,1021660000000,000,001034778597,671035020620,121402531/07/2025
31137,17620200000027435240,400,001062772625,931063065492,141398501/08/2025

C = Cancelado.