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Informe Diário

Competência: 01/07/2025
Nome do Fundo/Classe: BB ETF RENDA FIXA PRÉ ÍNDICE FUTURO DE TAXAS DE JUROS S&P/B3 FUNDO DE ÍNDICE RESP LIMITADACNPJ: 26.845.780/0001-64
Administrador: BB GESTAO DE RECURSOS DTVM S.ACNPJ: 30.822.936/0001-69
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
0117,4276170,000,0090623608,4090641143,72544702/07/2025
0217,4148520,000,0090557230,1990565971,08544804/07/2025
0317,4085820,000,0090524628,5890533453,14545804/07/2025
0417,3977670,000,0090468390,7990476620,25546507/07/2025
0717,3723500,000,0090336220,0090344520,97547008/07/2025
0817,3912490,000,0090434493,7790442858,60548809/07/2025
0917,3991660,000,0090475664,4090484114,85550110/07/2025
1017,3337761733377,600,0091869012,8091869738,10551111/07/2025
1117,3353230,000,0091877211,9091893909,32551614/07/2025
1417,3403110,000,0091903649,5691912063,68551815/07/2025
1517,2875830,000,0091624190,4291632690,08552016/07/2025
1617,2687870,000,0091524571,2691533152,70552017/07/2025
1717,3217160,000,0091805093,2591813790,21551818/07/2025
1817,3083450,000,0091734228,5091743000,20552221/07/2025
2117,3472340,000,0091940341,3391949179,39553622/07/2025
2217,3950330,000,0092193673,5692202599,27553924/07/2025
2317,4119860,000,0092283527,6992292541,71554424/07/2025
2417,4034960,000,0092238526,6292247627,04555525/07/2025
2517,4017440,000,0092229245,3392238430,54556328/07/2025
2817,4173840,000,0092312134,5692321404,97555829/07/2025
2917,4888220,000,0092690756,6092699252,40555830/07/2025
3017,4720620,000,0092601926,7592611373,49555931/07/2025
3117,4151970,000,0092300544,1092308002,00556001/08/2025

C = Cancelado.