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Informe Diário

Competência: 01/07/2025
Nome do Fundo/Classe: B-INDEX MORNINGSTAR BRASIL PESOS IGUAIS FIF - CLASSE DE INVESTIMENTO DE ÍNDICE - RESP LIMITADACNPJ: 48.643.130/0001-79
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
01128,60576230,000,0070733169,2970161229,3911502/07/2025
02127,11456070,000,0069913008,4369270164,7211503/07/2025
03129,13927790,000,0071026602,8770339116,6611504/07/2025
04129,49720830,000,0071223464,6170605635,1911507/07/2025
07128,18207480,000,0070500141,1669949325,9411508/07/2025
08127,74605870,000,0070260332,3369704783,2411509/07/2025
09126,18635810,000,0069402497,0068790546,4711510/07/2025
10125,72606230,000,0069149334,2968531761,9911511/07/2025
11124,77016050,000,0068623588,2968005380,7211514/07/2025
14124,00156550,000,0068200861,0667562674,9411515/07/2025
15124,50886920,000,0068479878,1067939526,0011516/07/2025
16124,29837670,000,0068364107,2367844759,9511517/07/2025
17124,26533360,000,0068345933,5367772842,3211518/07/2025
18122,09965930,000,0067154812,6466567676,7411521/07/2025
21122,6122910,000,0067436760,0866833877,5311522/07/2025
22122,23778240,000,0067230780,3266645541,7911523/07/2025
23123,838650,000,0068111257,5067530357,9311524/07/2025
24122,53025980,000,0067391642,9466825561,0711525/07/2025
25122,56590140,000,0067411245,8266843780,0011528/07/2025
28121,01080840,000,0066555944,6766003589,0711529/07/2025
29121,66648580,000,0066916567,2066356733,6511530/07/2025
30122,96731230,000,0067632021,7867054969,4611531/07/2025
31121,73078560,000,0066951932,1366418139,8111501/08/2025

C = Cancelado.