PT

Dados B3 › ETFs › ISUS11

equity

ISUS11 — IT NOW ISE FUNDO DE ÍNDICE INVESTIMENTO SUSTENTÁVEL - RESPONSABILIDADE LIMITADA

CNPJ 12984444000198 · CVM code 1147

equitytype
ISE/ESGindex (by name)
ITAU UNIBANCO S.A.manager
2025since
5,876,706,349shares issued
R$ 42.59NAV per share
ITAU UNIBANCO S.A.custodian
ERNST & YOUNG AUDITORES INDEPENDauditor

Registry: CVM (index-fund class) and B3; NAV, net assets and shareholders from the daily report filed with FNET · filed 2026-09-03 · index inferred from the fund name, not a filed field · watcher events

R$ 44.46close of 2026-09-25 · B3 (COTAHIST), updated nightly — the price the API, the MCP and the dump serve

1m +5.8% · 12m +13.1% · YTD +5.3% · 52-week R$ 37.57–49.97

15-minute delayed quote, shown by TradingView — display only: it never enters our API, MCP or dump
+0.03%premium/discount
session 2026-08-31closing price ÷ NAV per share of the same day − 1
R$ 0.02 bnnet assets
daily report 2026-08-31net asset value from the daily report the administrator files
854shareholders
daily report 2026-08-31
R$ 0.1 m/dayavg daily traded
last 60 sessions
+9.1%12-month return, by NAV
real +4.7%NAV per share is total return by construction; the price is not

At a glance

Closing price, premium or discount to NAV, net assets, net inflows and shareholders, all from the base. Hover a point for the exact figure.

Close, daily, 1 year · return +13.1% · not split-adjustedR$ 44.46 2026-09-25
high 2026-04-14: R$ 49.97low 2025-10-10: R$ 37.572026-09-25: R$ 44.46
2025low R$ 37.57 · high R$ 49.972026

Return by window

1 month3 months1 year2 years5 years10 years
By NAV per share (fund return)+1.3%+5.9%+9.1%———
By NAV, real (net of IPCA)+1.4%+2.2%+4.7%———
By price (as traded, no distributions)+6.0%+3.7%+12.5%+22.0%+13.4%+79.1%

NAV per share from the daily report filed with FNET, up to 2026-08-31. The fund return is the change in NAV per share, which already includes what the portfolio receives. The price line is what the share traded at and ignores any distribution; the gap between the two is the premium or discount moving.

Premium and discount, day by day

Closing price over the NAV per share the administrator reported for the SAME day. When they are not from the same day there is no line: nothing is interpolated. Above ±10% the figure carries a flag: a stale NAV or a share that did not trade.

sessionpriceNAV/sharepremium
2026-08-3142.6042.5863+0.03%
2026-08-2841.9542.0312-0.19%
2026-08-2742.0441.9660+0.18%
2026-08-2642.0242.1007-0.19%
2026-08-2542.1242.1703-0.12%
2026-08-2441.3041.2045+0.23%
2026-08-2140.9841.0695-0.22%
2026-08-2039.9439.9951-0.14%
2026-08-1940.0440.1137-0.18%
2026-08-1839.7739.5670+0.51%
2026-08-1739.8939.8537+0.09%
2026-08-1439.9139.9777-0.17%
2026-08-1340.1340.1732-0.11%
2026-08-1240.2140.2537-0.11%
2026-08-1140.3740.4167-0.12%
2026-08-1041.3441.3891-0.12%
2026-08-0741.9842.0203-0.10%
2026-08-0642.6542.6905-0.09%
2026-08-0543.2143.2516-0.10%
2026-08-0443.2843.3251-0.10%
2026-07-3143.2743.3124-0.10%
2026-07-3043.0443.0830-0.10%
2026-07-2942.1742.2159-0.11%
2026-07-2843.1343.1712-0.10%
2026-07-2742.9442.9752-0.08%
2026-07-2442.5242.3289+0.45%
2026-07-2243.4243.4832-0.15%
2026-07-2142.6842.6459+0.08%
2026-07-2042.8742.7653+0.24%
2026-07-1742.9743.0094-0.09%

Last 30 sessions with both figures; the chart above has the month-end series.

Effective fee, month by month

What the fund actually booked as management fee in each month (balance sheet filed with FNET, COFI chart of accounts), over the average net assets of the month, annualised. Not the nominal fee from the bylaws, which no public file carries as a field. The result accounts accumulate over the fiscal year, so the monthly expense is the difference between two consecutive balance sheets; without the previous month the figure is cumulative and flagged.

monthfee expenseavg net assetseffective p.a.
2026-08R$ 33 kR$ 18.2 m2.176% acumulado_sem_mes_anterior
2025-08R$ 24 kR$ 15.0 m1.912% acumulado_sem_mes_anterior

Portfolio 2026-08

Monthly portfolio filed with the CVM (CDA), 137 positions; the 10 largest below, weight over the month-end net assets. By type: Ações 66.2% · Ações e outros TVM cedidos em empréstimo 24.4% · Certificado ou recibo de depósito de valores mobiliários 7.4% · Títulos Públicos 0.2% · Mercado Futuro - Posições compradas 0.0%.

codeassettypeweight
CSMG3Ações4.1%
ITSA4Ações2.8%
BBDC4Ações2.7%
EGIE3Ações2.6%
CPLE3Ações2.4%
WEGE3Ações2.2%
KLBN11Certificado ou recibo de depósito de valores mobiliários2.2%
BBAS3Ações2.2%
BPAC11Certificado ou recibo de depósito de valores mobiliários2.2%
TIMS3Ações2.2%

Overlap with ETFs on the same index

Sum of the smaller weight of each common holding, same month. Index by fund name.

Other ETFs on ISE/ESG

Index inferred from the fund name — a label, not a filed field.

Take this into your code

The same URL returns JSON when asked for JSON: GET /etfs/ISUS11 with Accept: application/json and the X-API-Key header. Daily series at GET /etfs/ISUS11/diario, portfolio at GET /etfs/ISUS11/carteira. Free key, 200 calls/day, no card.

Coverage: 3,547 sessions, 2011-11-03 → 2026-09-25 · 88 daily reports, 2025-08-01 → 2026-08-31 · methodology

Sources: CVM (open data, ODbL) and B3 (COTAHIST). Not affiliated with B3 or the CVM. Not investment advice.

Numbers on this page are live. Data version 2026-09-27-reapresentacao-agreg · page generated 2026-09-27 06:15 UTC. If this does not match /saude, you are reading a cached copy.