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Informe Diário

Competência: 01/07/2025
Nome do Fundo/Classe: TREND ETF IFIX-L CLASSE DE ÍNDICE - RESPONSABILIDADE LIMITADACNPJ: 36.046.508/0001-78
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
0112,3151100000000,000,0034974913,2434734137,791761102/07/2025
0212,3133500000000,000,0034969913,3134725775,471760703/07/2025
0312,3378080000000,000,0035039375,1434795523,841762104/07/2025
0412,3914010000000,000,0035191578,4134947951,111764407/07/2025
0712,376116000000247522,320,0035395691,5435170435,161763508/07/2025
0812,3541040000000,000,0035332737,8035090833,021764209/07/2025
0912,3387260000000,000,0035288756,9335040563,791765110/07/2025
1012,3086120000000,000,0035202630,0735233586,781764811/07/2025
1112,3371660000000,000,0035284294,8335356763,651765614/07/2025
1412,3374080000000,000,0035284986,1035223782,151764615/07/2025
1512,3182590000000,000,0035230221,3235180846,731761816/07/2025
1612,3040110000000,000,0035189472,3035146652,681762717/07/2025
1712,3059080000000,000,0035194897,6835171940,701762618/07/2025
1812,269940000000245398,800,0035337427,1535314559,071762321/07/2025
2112,1898100000000,000,0035106653,4935068586,611762722/07/2025
2212,1830990000000,00243661,9834843664,3634811030,811762723/07/2025
2312,1529710000000,000,0034757497,4634727344,291762324/07/2025
2412,1714940000000,000,0034810471,6834780126,271762025/07/2025
2512,1985390000000,000,0034887820,2734714932,311762128/07/2025
2812,1448160000000,000,0034734174,6634561653,011760529/07/2025
2912,1083340000000,000,0034629834,6934629534,991760530/07/2025
3012,0829980000000,000,0034557373,4434557338,921758731/07/2025
3112,1681140000000,00486724,5634314080,3334315068,121758901/08/2025

C = Cancelado.