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Informe Diário

Competência: 01/08/2025
Nome do Fundo/Classe: CLASSE A DA INVESTO ETF SOLACTIVE GOLD SPOT INDEX DE FUNDO DE ÍNDICE RESPONSABILIDADE LIMITADACNPJ: 43.210.419/0001-80
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
0187,5953390000000,000,0058993971,9659028045,64317304/08/2025
0487,5628280000000,000,0058972076,0359008792,09317105/08/2025
0587,5712090000000,000,0058977720,8359017064,25317406/08/2025
0686,6948050000003467792,200,0061855269,5961881949,36317407/08/2025
0787,1560900000000,000,0062184388,2162204962,49310008/08/2025
0886,9363560000000,000,0062027612,2062050859,19310911/08/2025
1185,8580940000000,000,0061258290,3961284196,15311412/08/2025
1284,8755600000000,000,0060557269,4260577797,93311513/08/2025
1385,3195640000001706391,280,0062580449,6162600072,85311714/08/2025
1485,0035190000000,000,0062348636,4262374468,37312915/08/2025
1584,8736120000000,000,0062253351,4962281442,96312918/08/2025
1885,2449900000000,000,0062525751,2462556495,26312819/08/2025
1985,6431150000000,000,0062817769,2062851157,58314020/08/2025
2086,2222750000000,000,0063242572,8163278649,75314421/08/2025
2185,9795830000000,000,0063064562,5763103320,82314822/08/2025
2285,9765770000000,000,0063062357,4763103824,77315225/08/2025
2585,6440540000000,000,0062818457,4262811567,54315626/08/2025
2686,7041090000000,000,0063595989,6363591397,50316027/08/2025
2786,6263220000000,000,0063538934,2663537175,55316628/08/2025
2886,9678250000000,000,0063789421,1063842740,44317829/08/2025
2988,1101010000000,000,0064627261,0664682233,67317001/09/2025

C = Cancelado.