Imprimir

Informe Diário

Competência: 01/07/2025
Nome do Fundo/Classe: INVESTO FTSE GLOBAL EQUITIES ETF CLASSE DE ÍNDICE - IE - RESPONSABILIDADE LIMITADACNPJ: 42.280.262/0001-05
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
01125,9706540000000,000,00573166475,03573438876,203003402/07/2025
02125,5770630000002511541,260,00573887177,20574164045,333009503/07/2025
03126,0272550000000,000,00575944554,27576233199,663014504/07/2025
04126,0788940000000,000,00576180545,93576477876,143022307/07/2025
07126,3274190000000,000,00577316306,84577483595,603023508/07/2025
08125,7062140000006285310,700,00580762710,74580921885,543027109/07/2025
09127,4218680000000,000,00588689029,73588865689,943056310/07/2025
10129,3596420000000,000,00597641543,74597828427,483061111/07/2025
11128,4556060000008991892,420,00602456792,48602636401,213066314/07/2025
14129,6033490000002592066,980,00610431771,51610632584,063101415/07/2025
15128,4098600000006420493,000,00611230934,31611433763,043107716/07/2025
16129,0160320000002580320,640,00616696634,30616915433,953114417/07/2025
17129,2463800000000,000,00617797698,77618029830,883123018/07/2025
18130,1171200000002602342,400,00624562174,10624799900,373126521/07/2025
21129,8246340000000,000,00623158242,37623409219,563131222/07/2025
22130,2706270000002605412,540,00627904422,29628160399,943131223/07/2025
23130,5967470000000,000,00629476321,26629745081,353132724/07/2025
24130,3760760000002607521,520,00631020207,91631294156,463138725/07/2025
25131,5665600000002631331,200,00639413479,73639813612,593144928/07/2025
28131,6219920000002632439,840,00642315318,95642493267,163149629/07/2025
29130,8391420000000,000,00638495014,10638805657,833154230/07/2025
30130,2236520000002604473,040,00638095895,63638411812,683159231/07/2025
31130,3927780000000,000,00638924613,47639248011,943170201/08/2025

C = Cancelado.