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Itaú Vértice Renda Fixa Referenciado Di Ficfi (0P00015II7)

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16.443 +0.004    +0.03%
21/10 - Delayed Data. Currency in BRL ( Disclaimer )
Type:  Fund
Market:  Brazil
Issuer:  Itaú Unibanco S.A.
ISIN:  BRITU2CTF005 
S/N:  21.407.105/0001-30
Asset Class:  Bond
  • Morningstar Rating:
  • Total Assets: 7.84B
ITAÚ TOP DI II RENDA FIXA REFERENCIADO FICFI 16.443 +0.004 +0.03%
Time Frame:
09/22/2021 - 10/22/2021
 
Date Price Open High Low Change %
Oct 21, 2021 16.443 16.443 16.443 16.443 0.03%
Oct 20, 2021 16.438 16.438 16.438 16.438 0.04%
Oct 19, 2021 16.431 16.431 16.431 16.431 0.04%
Oct 18, 2021 16.425 16.425 16.425 16.425 0.03%
Oct 15, 2021 16.420 16.420 16.420 16.420 0.03%
Oct 14, 2021 16.415 16.415 16.415 16.415 0.03%
Oct 13, 2021 16.411 16.411 16.411 16.411 0.03%
Oct 11, 2021 16.407 16.407 16.407 16.407 0.02%
Oct 08, 2021 16.403 16.403 16.403 16.403 0.03%
Oct 07, 2021 16.397 16.397 16.397 16.397 0.02%
Oct 06, 2021 16.393 16.393 16.393 16.393 0.04%
Oct 05, 2021 16.386 16.386 16.386 16.386 0.03%
Oct 04, 2021 16.381 16.381 16.381 16.381 0.02%
Oct 01, 2021 16.377 16.377 16.377 16.377 0.03%
Sep 30, 2021 16.372 16.372 16.372 16.372 0.03%
Sep 29, 2021 16.368 16.368 16.368 16.368 0.03%
Sep 28, 2021 16.363 16.363 16.363 16.363 0.03%
Sep 27, 2021 16.358 16.358 16.358 16.358 0.03%
Sep 24, 2021 16.354 16.354 16.354 16.354 0.03%
Sep 23, 2021 16.349 16.349 16.349 16.349 0.02%
Sep 22, 2021 16.346 16.346 16.346 16.346 0.02%
Highest: 16.443 Lowest: 16.346 Difference: 0.097 Average: 16.392 Change %: 0.610
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