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Informe Diário

Competência: 01/07/2025
Nome do Fundo/Classe: FIF - CLASSE DE INVESTIMENTO DE ÍNDICE B-INDEX MORNINGSTAR SETORES CICLICOS BRASIL RESP LIMITADACNPJ: 48.643.170/0001-10
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
01124,9532170,000,0068724269,3968081973,394102/07/2025
02123,7542980,000,0068064863,9067436516,244103/07/2025
03125,91335260,000,0069252343,9768598028,564104/07/2025
04126,30422510,000,0069467323,8468878564,404107/07/2025
07124,8423040,000,0068663267,2568067156,844108/07/2025
08124,46281310,000,0068454547,2367880958,964109/07/2025
09122,94980270,000,0067622391,5367056787,334110/07/2025
10122,34266330,000,0067288464,8266686592,424111/07/2025
11121,36713310,000,0066751923,2366147612,334114/07/2025
14120,75894060,000,0066417417,3665817440,684115/07/2025
15121,21873390,000,0066670303,6566149238,934116/07/2025
16120,7097430,000,0066390358,7065956207,924117/07/2025
17120,95393050,000,0066524661,8066090660,734118/07/2025
18118,44428610,000,0065144357,4064611163,104121/07/2025
21118,67485820,000,0065271172,0364725281,534122/07/2025
22118,43879480,000,0065141337,1964606483,214123/07/2025
23119,95164120,000,0065973402,6965448754,594124/07/2025
24118,52982550,000,0065191404,0464681633,404125/07/2025
25118,78769890,000,0065333234,4364816800,164128/07/2025
28117,23275950,000,0064478017,7463945637,354129/07/2025
29117,77336030,000,0064775348,2064234612,404130/07/2025
30119,18252390,000,0065550388,1865022078,124131/07/2025
31118,41109940,000,0065126104,6964632335,164101/08/2025

C = Cancelado.