Imprimir

Informe Diário

Competência: 01/09/2025
Nome do Fundo/Classe: INVESTO TEVA TESOURO SELIC ETF CLASSE DE ÍNDICE - RESPONSABILIDADE LIMITADACNPJ: 45.823.821/0001-66
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
01138,8246880000006941234,400,001099144466,151099503379,241419102/09/2025
02138,9000650000000,000,001099741261,911100105518,681423403/09/2025
03138,9756310000006948781,550,001107288336,231107676161,921427304/09/2025
04139,0511470000000,000,001107890015,941108282562,901430905/09/2025
05139,1273240000000,000,001108496951,101108710584,481431408/09/2025
08139,2036890000000,000,001109105393,441109333233,191433409/09/2025
09139,2788830000002785577,660,001112490076,701112736721,821437910/09/2025
10139,3552470000000,000,001113100038,671113357916,911439011/09/2025
11139,4339420000000,000,001113728610,481114001536,291439012/09/2025
12139,513964000000348784,910,001114716571,181115001889,421443915/09/2025
15139,5898710000000,000,001115323072,811115622198,561447016/09/2025
16139,66650800000013966650,800,001129902047,881130234533,301447617/09/2025
17139,74290600000013974290,600,001144494400,131144841347,941448618/09/2025
18139,8209030000000,000,001145133192,791145470802,781451019/09/2025
19139,89787000000034974467,501398978,701179339043,271179737091,841462722/09/2025
22139,9738960000000,002799477,921177180468,891177543418,701466123/09/2025
23140,0505510000000,000,001177825132,871178207529,071463924/09/2025
24140,1271740000000,000,001178469531,551178866986,971458425/09/2025
25140,2036060000000,000,001179112322,721179524845,291462026/09/2025
26140,2799550000000,000,001179754419,091180182016,721460429/09/2025
29140,3565160000000,000,001180398302,601180840983,191463230/09/2025
30140,4327520000000,000,001181039440,151181497211,701461001/10/2025

C = Cancelado.