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Informe Diário

Competência: 01/07/2025
Nome do Fundo/Classe: FUNDO DE INVESTIMENTO DE ÍNDICE - CLASSE DE INVESTIMENTO ETF BRADESCO IBOVESPA - RESP LIMITADACNPJ: 32.203.211/0001-18
Administrador: BANCO BRADESCO S.A.CNPJ: 60.746.948/0001-12
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
01142,26688360,000,001379988771,151366277010,32136302/07/2025
02141,75837770,000,001375056264,151360490866,25136303/07/2025
03143,67534580,000,001393650855,111376699430,44136303/07/2025
04144,01579730,000,001396953234,541380114832,17136304/07/2025
07142,20646460,000,001379402707,401362784616,51135107/07/2025
08142,01273390,000,001377523519,741361364772,27135108/07/2025
09140,15333250,000,001359487326,121345428484,47135109/07/2025
10139,40064220,000,001352186229,411337463898,33134810/07/2025
11138,8350340,000,001346699830,101330778246,39134811/07/2025
14137,92778860,000,001337899549,741321832612,00135114/07/2025
15137,87862710,000,001337422683,171321354976,86135115/07/2025
16138,14356010,000,001339992533,131324588765,23135416/07/2025
17138,19780,000,001340518660,931325114157,91135417/07/2025
18135,97276970,000,001318935866,751303398105,61135518/07/2025
21136,77413980,000,001326709156,151311070514,47135321/07/2025
22136,64103430,000,001332250084,541318203921,25135422/07/2025
23137,99784560,000,001359278779,851343472856,71135623/07/2025
24136,40620020,000,001343601072,341328319087,37135924/07/2025
25136,11864620,000,001340768665,561325505651,38136425/07/2025
28134,69946450,000,001326789726,281311171241,51135828/07/2025
29135,30844320,000,001332788165,991317089727,40135429/07/2025
30136,5950120,000,001372779871,601356942822,00135530/07/2025
31135,65834610,000,001363366378,571347606760,40135631/07/2025

C = Cancelado.