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Informe Diário

Competência: 01/09/2025
Nome do Fundo/Classe: BB ETF ÍNDICE BOVESPA B3 BR+ FUNDO DE ÍNDICE RESPONSABILIDADE LIMITADACNPJ: 57.848.980/0001-02
Administrador: BB GESTAO DE RECURSOS DTVM S.ACNPJ: 30.822.936/0001-69
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
0110,8363558230,000,0023839982,8126165536,9411902/09/2025
0210,7765179680,000,0023708339,5323709988,2012203/09/2025
0310,7320689360,000,0023610551,6623709234,3712104/09/2025
0410,8128532950,000,0023788277,2523886856,0412605/09/2025
0510,8877593090,000,0023953070,4823954675,4212808/09/2025
0810,8504401360,000,0023870968,3023872606,05109/09/2025
0910,8692482680,000,0023912346,1923914002,6212710/09/2025
1010,8907679450,000,0023959689,4823961411,1012511/09/2025
1110,9458837550,000,0024080944,2624082690,0912512/09/2025
1210,8795032550,000,0023934907,1624006363,5612515/09/2025
1510,9490332550,000,0024087873,1624183583,7912416/09/2025
1611,0005156360,000,0024201134,4024227216,4212417/09/2025
1711,1259558910,000,0024477102,9624478900,6412818/09/2025
1811,1420606950,000,0024512533,5324514362,0813019/09/2025
1911,1538950730,000,0024538569,1624544332,2613022/09/2025
2211,1369387500,000,0024501265,2524520277,3713023/09/2025
2311,1896105320,000,0024617143,1724632263,6513024/09/2025
2411,2058785500,000,0024652932,8124654854,1712925/09/2025
2511,1247269820,000,0024474399,3624476344,0513026/09/2025
2611,1132574410,000,0024449166,3724451135,1613129/09/2025
2911,1822010450,000,0024600842,3024602834,4812930/09/2025
3011,1283593640,000,0024482390,6024484408,7512901/10/2025

C = Cancelado.