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Informe Diário

Competência: 01/08/2025
Nome do Fundo/Classe: BTG PACTUAL TEVA AÇÕES COMMODITIES BRASIL FUNDO DE ÍNDICECNPJ: 43.391.410/0001-13
Administrador: BTG PACTUAL SERVIÇOS FINANCEIROS S/A DTVMCNPJ: 59.281.253/0001-23
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
0113,0412670542790,000,0011797364,9211774066,78105504/08/2025
0412,9778756390220,000,0011740019,9011716949,79105505/08/2025
0512,9918435953470,000,0011752655,5711729558,34105406/08/2025
0612,9588686763370,000,0011722825,8611699976,12105507/08/2025
0713,0775894565040,000,0011830222,8211807328,06105408/08/2025
0813,0014877038480,000,0011761379,8011738437,10105511/08/2025
1112,9453259147960,000,0011710574,8411700861,31105812/08/2025
1212,9996666693670,000,0011759732,4611750836,89106013/08/2025
1312,9228404341050,000,0011690234,0711681980,55105914/08/2025
1412,8133181987670,000,0011591158,2811583659,75106115/08/2025
1512,8181713237580,000,0011595548,5111589200,52106318/08/2025
1812,8195579931640,000,0011596802,9111591499,34106519/08/2025
1912,7083644666380,000,0011496215,2511491582,08106320/08/2025
2012,7024821209490,000,0011490893,9711487126,38106521/08/2025
2112,7167598538870,000,0011503809,8711500704,60106622/08/2025
2213,0346718169640,000,0011791398,7511789252,52106825/08/2025
2513,0901782011080,000,0011841610,8211840094,27106526/08/2025
2613,0662731762400,000,0011819985,9111819462,49106427/08/2025
2713,1608565077840,000,0011905547,6911905567,49106128/08/2025
2813,2370634307210,000,0011974485,8511975759,11106229/08/2025
2913,2614963341280,000,0011996588,2911998612,83106401/09/2025

C = Cancelado.