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Informe Diário

Competência: 01/09/2025
Nome do Fundo/Classe: TREND ETF IFIX-L CLASSE DE ÍNDICE - RESPONSABILIDADE LIMITADACNPJ: 36.046.508/0001-78
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
0112,3323160000000,00246646,3234777132,0334618690,991749502/09/2025
0212,306515000000492260,600,0035196632,8434963525,741748603/09/2025
0312,3558910000000,000,0035337847,3735104708,801749604/09/2025
0412,3546120000000,000,0035334191,3335102497,101750005/09/2025
0512,4065680000000,000,0035482783,8835269305,831750708/09/2025
0812,4430740000000,000,0035587192,8435359447,681749609/09/2025
0912,4302680000000,000,0035550567,1935431812,431748810/09/2025
1012,4608340000000,00249216,6835388769,7535265707,431749811/09/2025
1112,458464000000498338,560,0035880376,9635685900,261749812/09/2025
1212,5349420000000,000,0036100633,8636042342,481750615/09/2025
1512,5750740000000,000,0036216212,1836171234,431751016/09/2025
1612,6075850000000,000,0036309843,6936269013,751751317/09/2025
1712,6263290000000,000,0036363826,3436342137,991751418/09/2025
1812,5935680000000,000,0036269475,5236248204,121750819/09/2025
1912,6395720000000,000,0036401967,6536588278,291750522/09/2025
2212,609627000000504385,080,0036820111,4937010178,681751223/09/2025
2312,6268650000000,000,0036870445,8936879303,131750424/09/2025
2412,6294840000000,000,0036878091,9536888296,381750225/09/2025
2512,6511630000000,000,0036941395,4536945602,771747526/09/2025
2612,6787110000000,000,0037021835,2136264938,941745629/09/2025
2912,6883910000000,000,0037050101,8336293552,951743930/09/2025
3012,7131450000000,000,0037122383,9937127572,311743401/10/2025

C = Cancelado.