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Informe Diário

Competência: 01/08/2025
Nome do Fundo/Classe: IT NOW S&P® KENSHO® HYDROGEN FUNDO DE ÍNDICE INVESTIMENTO SUSTENTÁVEL RESP LIMITADACNPJ: 42.264.597/0001-21
Administrador: ITAU UNIBANCO S.A.CNPJ: 60.701.190/0001-04
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
0136,9528531000000,000,003695285,313726315,0240805/08/2025
0437,1827775000000,000,003718277,753749551,5040806/08/2025
0537,5948312000000,000,003759483,123791331,4540908/08/2025
0637,1602370000000,000,003716023,713747066,7041008/08/2025
0736,9035858000000,000,003690358,583721874,6140912/08/2025
0836,5439860000000,000,003654398,603686393,7240913/08/2025
1136,5070551000000,000,003650705,513683453,2141013/08/2025
1237,1712206000000,000,003717122,063749862,5140914/08/2025
1339,0092115000000,000,003900921,153934417,8140815/08/2025
1439,2185223000000,000,003921852,233956157,6840618/08/2025
1539,2267569000000,000,003922675,693947314,9540620/08/2025
1839,6947939000000,000,003969479,393995116,9440320/08/2025
1939,4344894000000,000,003943448,943968508,3140421/08/2025
2039,2467263000000,000,003924672,633950168,3440321/08/2025
2139,2877060000000,000,003928770,603954951,4040122/08/2025
2240,8193513000000,000,004081935,134107237,4439826/08/2025
2540,5872496000000,000,004058724,964084550,7739827/08/2025
2641,0925729000000,000,004109257,294136025,0339828/08/2025
2741,0701809000000,000,004107018,094134286,7639728/08/2025
2841,5445661000000,000,004154456,614180403,4439902/09/2025
2941,4788207000000,000,004147882,074174004,6739901/09/2025

C = Cancelado.