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Bradesco Fundo De Investimento Renda Fixa Referenciado Di Premium (0P0000U7V1)

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18.673 +0.010    +0.05%
04/02 - Delayed Data. Currency in BRL
Type:  Fund
Market:  Brazil
Issuer:  BRAM – Bradesco Asset Management SA DTVM
ISIN:  BRBPRDCTF002 
S/N:  03.399.411/0001-90
Asset Class:  Other
  • Morningstar Rating:
  • Total Assets: 15.21B
BRADESCO FUNDO DE INVESTIMENTO RENDA FIXA REFERENC 18.673 +0.010 +0.05%

0P0000U7V1 Historical Data

 
Get free historical data for 0P0000U7V1 fund. You'll find the end of day price of the Bradesco Fundo De Investimento Renda Fixa Referenciado Di Premium fund for the selected range of dates. The data can be viewed in daily, weekly or monthly time intervals. At the bottom of the table you'll find the data summary for the selected range of dates.
Time Frame:
01/06/2025 - 02/06/2025
 
Date Price Open High Low Change %
Feb 04, 2025 18.673 18.673 18.673 18.673 0.05%
Feb 03, 2025 18.664 18.664 18.664 18.664 0.05%
Jan 31, 2025 18.655 18.655 18.655 18.655 0.05%
Jan 30, 2025 18.645 18.645 18.645 18.645 0.05%
Jan 29, 2025 18.637 18.637 18.637 18.637 0.05%
Jan 28, 2025 18.628 18.628 18.628 18.628 0.05%
Jan 27, 2025 18.619 18.619 18.619 18.619 0.05%
Jan 24, 2025 18.610 18.610 18.610 18.610 0.05%
Jan 23, 2025 18.601 18.601 18.601 18.601 0.05%
Jan 22, 2025 18.593 18.593 18.593 18.593 0.05%
Jan 21, 2025 18.584 18.584 18.584 18.584 0.05%
Jan 20, 2025 18.575 18.575 18.575 18.575 0.05%
Jan 17, 2025 18.566 18.566 18.566 18.566 0.05%
Jan 16, 2025 18.558 18.558 18.558 18.558 0.05%
Jan 15, 2025 18.549 18.549 18.549 18.549 0.05%
Jan 14, 2025 18.540 18.540 18.540 18.540 0.05%
Jan 13, 2025 18.531 18.531 18.531 18.531 0.05%
Jan 10, 2025 18.523 18.523 18.523 18.523 0.10%
Jan 08, 2025 18.505 18.505 18.505 18.505 0.05%
Jan 07, 2025 18.495 18.495 18.495 18.495 0.05%
Jan 06, 2025 18.486 18.486 18.486 18.486 0.05%
Highest: 18.673 Lowest: 18.486 Difference: 0.188 Average: 18.583 Change %: 1.064
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