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Informe Diário

Competência: 01/07/2025
Nome do Fundo/Classe: NU IBOV SMART LOW VOLATILITY B3 CLASSE DE ÍNDICE - RESPONSABILIDADE LIMITADACNPJ: 55.705.668/0001-26
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
01111,2956900000000,000,0016694353,6213775285,87213802/07/2025
02110,6835430000000,000,0016602531,5713619998,32214003/07/2025
03112,5567580000000,000,0016883513,7813665057,30214404/07/2025
04112,4191010000000,000,0016862865,1913634167,98215007/07/2025
07110,6820290000000,000,0016602304,4813397974,50215508/07/2025
08110,1312490000000,000,0016519687,4313147680,59216209/07/2025
09108,5666380000000,000,0016284995,7613038992,94217510/07/2025
10108,1196040000000,000,0016217940,6312781193,98218611/07/2025
11107,6158180000000,000,0016142372,7712617098,15219114/07/2025
14107,1889070000000,000,0016078336,1012176563,76219515/07/2025
15107,3178730000000,000,0016097681,0712060396,71219416/07/2025
16107,3501970000000,000,0016102529,5612076858,20220117/07/2025
17107,3051240000000,000,0016095768,7212001170,39220418/07/2025
18106,1396740000000,000,0015920951,2111862741,16221021/07/2025
21106,5059870000000,000,0015975898,1611840247,07221522/07/2025
22105,5157260000000,000,0015827359,0011909055,20221523/07/2025
23106,8777730000000,000,0016031665,9612049465,12221824/07/2025
24106,1088590000000,000,0015916328,8612037174,93221825/07/2025
25105,9893470000000,000,0015898402,0912148204,74219328/07/2025
28104,9667750000000,000,0015745016,3412067332,99219529/07/2025
29105,3250940000000,000,0015798764,1912239718,34219830/07/2025
30106,1141020000000,000,0015917115,3912106013,90219431/07/2025
31105,3691410000000,000,0015805371,1811996974,79220101/08/2025

C = Cancelado.