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Informe Diário

Competência: 01/09/2025
Nome do Fundo/Classe: CLASSE A DA INVESTO ETF SOLACTIVE GOLD SPOT INDEX DE FUNDO DE ÍNDICE RESPONSABILIDADE LIMITADACNPJ: 43.210.419/0001-80
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
0188,4003630000000,000,0064840163,4164897863,93316602/09/2025
0291,0162400000000,000,0066758864,5166819292,48315903/09/2025
0391,4906500000000,000,0067106836,3967170029,61316804/09/2025
0490,9202640000000,000,0066688468,0366754430,59316905/09/2025
0591,4310250000000,000,0067063102,2167075902,05319608/09/2025
0892,6810360000000,000,0067979964,4267994229,52319909/09/2025
0992,7583470000000,000,0068036670,8468052413,15320210/09/2025
1092,5114810000000,000,0067855598,4167872832,10321311/09/2025
1192,1074620000000,000,0067559257,3467551930,42321312/09/2025
1291,6523270000000,000,0067225423,8967219779,12322315/09/2025
1592,0401720000000,000,0067509901,2267505899,35323116/09/2025
1691,9265460000000,000,0067426559,0767448649,69324217/09/2025
1791,1883730000000,000,0066885121,4466908686,47325018/09/2025
1890,8586460000000,000,0066643272,2866660244,24331719/09/2025
1992,1653460000000,000,0067601714,2567620139,53331922/09/2025
2293,9591420000000,000,0068917433,3268937327,91332523/09/2025
2393,4743460000000,000,0068561843,6668583258,77333224/09/2025
2493,3600540000000,000,0068478012,5668500893,62333325/09/2025
2594,4149600000000,000,0069251768,3169276117,17328626/09/2025
2694,5142400000000,000,0069324588,4769350448,96328629/09/2025
2995,6511600000000,000,0070158499,8270185883,81329430/09/2025
3096,6071860000000,000,0070859728,9370887446,51331801/10/2025

C = Cancelado.