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Santander Oviedo Renda Fixa - Fif Resp Limitada (0P0000U31C)

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70.515 +0.071    +0.10%
27/08 - Closed. Currency in BRL
Type:  Fund
Market:  Brazil
ISIN:  BROVI1CTF001 
S/N:  09.296.371/0001-37
Asset Class:  Other
  • Morningstar Rating:
  • Total Assets: 10.59B
SANTANDER FUNDO DE INVESTIMENTO OVIEDO RENDA FIXA 70.515 +0.071 +0.10%

0P0000U31C Historical Data

 
Get free historical data for 0P0000U31C fund. You'll find the end of day price of the Santander Oviedo Renda Fixa - Fif Resp Limitada 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:
29/07/2025 - 29/08/2025
 
Date Price Open High Low Change %
Aug 27, 2025 70.515 70.515 70.515 70.515 0.10%
Aug 26, 2025 70.444 70.444 70.444 70.444 0.46%
Aug 25, 2025 70.120 70.120 70.120 70.120 0.60%
Aug 22, 2025 69.703 69.703 69.840 69.703 -0.20%
Aug 21, 2025 69.840 69.840 69.840 69.840 -0.26%
Aug 20, 2025 70.021 70.021 70.021 70.021 -1.14%
Aug 19, 2025 70.827 70.827 70.827 70.827 -0.27%
Aug 18, 2025 71.019 71.019 71.019 71.019 0.01%
Aug 15, 2025 71.015 71.015 71.015 70.937 0.11%
Aug 14, 2025 70.937 70.937 70.937 70.937 0.00%
Aug 13, 2025 70.936 70.936 70.936 70.936 -0.09%
Aug 12, 2025 71.000 71.000 71.000 71.000 0.18%
Aug 11, 2025 70.872 70.872 70.872 70.872 0.02%
Aug 08, 2025 70.858 70.858 70.858 70.340 0.74%
Aug 07, 2025 70.340 70.340 70.340 70.340 0.09%
Aug 06, 2025 70.280 70.280 70.280 70.280 -0.25%
Aug 05, 2025 70.454 70.454 70.454 70.454 0.04%
Aug 04, 2025 70.426 70.426 70.426 70.426 0.29%
Aug 01, 2025 70.223 70.223 70.233 70.223 -0.01%
Jul 31, 2025 70.233 70.233 70.233 70.233 0.10%
Jul 30, 2025 70.166 70.166 70.166 70.166 0.49%
Jul 29, 2025 69.823 69.823 69.823 69.823 0.07%
Highest: 71.019 Lowest: 69.703 Difference: 1.316 Average: 70.457 Change %: 1.058
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