Elliot Foster

Western Asset RF Ativo Plus FIC de FIF RF Resp Limitada

Ativo
02.885.907/0001-00

Administrador: Franklin Templeton Brasil

Gestor: Franklin Templeton Brasil

Cotistas

360

Patrimônio Líquido

R$ 6,99 mi

Características da classe

Categoria CVM

FI

Categoria ANBIMA

Renda Fixa Duração Livre Grau de Invest.

Benchmark

DI de um dia

Primeira cota

02/01/2015

Composição do fundo

FIF

Tipo de Investidor

Público Geral

Rentabilidade 12M

+3.68%

Índice de Sharpe 12M

127.79

PL Médio 12M

R$ 6,99 mi

RCVM 175

06/06/2025

Evolução da Cota
Selecione o período para visualizar o desempenho do fundo

2242 dias de cotação

Rentabilidade histórica

AnoJanFevMarAbrMaiJunJulAgoSetOutNovDezNo anoAcumulado
2026Fundo28,37%0,85%0,56%1,04%-0,00%-------31,55%156,07%
% CDI2.437,14%85,49%46,43%95,50%-2,85%-------686,69%82,48%
2025Fundo--------------
% CDI--------------
2024Fundo--------------
% CDI--------------
2023Fundo0,68%-0,32%0,55%0,18%1,34%1,35%1,05%0,71%----5,66%94,66%
% CDI60,71%-34,34%46,65%19,30%119,27%125,89%97,64%62,63%----43,44%80,12%
2022Fundo0,49%0,66%0,70%0,62%1,00%0,87%1,04%1,15%1,18%0,87%0,22%0,98%10,21%84,23%
% CDI66,83%86,87%76,04%73,92%96,52%85,60%100,21%98,71%109,70%84,79%21,14%87,42%82,39%90,59%
2021Fundo-0,44%-0,57%-0,21%0,31%0,21%0,19%0,08%0,04%0,22%0,13%0,58%0,72%1,24%67,16%
% CDI-292,15%-426,03%-106,77%148,44%76,72%61,07%23,15%8,67%49,55%26,78%99,01%93,05%28,12%93,66%
2020Fundo0,53%0,48%-0,88%0,75%0,77%0,49%0,98%-0,40%-0,48%-0,26%0,24%1,36%3,61%65,11%
% CDI140,39%163,48%-260,81%263,89%327,71%228,96%501,74%-249,85%-307,03%-165,28%161,67%829,44%130,93%101,05%
2019Fundo0,94%0,31%0,41%0,45%1,01%0,96%0,56%0,18%0,67%0,93%-0,29%0,38%6,70%59,35%
% CDI173,32%63,30%86,63%86,68%185,40%205,75%98,55%36,77%144,46%194,15%-76,27%100,60%112,43%98,89%
2018Fundo0,71%0,68%0,79%0,45%-0,31%-0,10%0,86%0,06%0,56%1,32%0,64%1,00%6,86%49,35%
% CDI121,57%145,53%149,12%86,62%-59,73%-18,91%158,11%11,32%119,55%242,28%130,11%203,58%106,80%96,72%
2017Fundo1,24%1,19%1,06%0,60%0,60%0,84%1,11%0,68%0,66%0,36%0,27%0,65%9,66%39,76%
% CDI114,62%138,32%101,36%76,50%64,36%103,34%139,22%84,59%103,34%56,27%47,18%121,63%97,35%94,88%
2016Fundo1,93%1,19%1,15%1,62%0,67%1,20%1,10%1,08%1,22%1,05%0,38%1,27%14,76%27,45%
% CDI182,91%118,61%98,93%153,86%60,25%103,57%99,42%88,64%110,14%99,90%36,86%113,15%105,41%94,34%
2015Fundo1,11%0,71%0,97%0,98%1,29%0,69%0,91%0,18%0,80%1,14%0,73%1,03%11,06%11,06%
% CDI119,86%87,19%93,44%103,33%130,85%64,32%77,37%16,37%71,99%103,27%68,79%88,81%83,53%83,53%

Índices de Rentabilidade

No MêsNo Ano3 Meses6 Meses12 Meses24 Meses36 Meses48 Meses60 MesesTotal
Rentabilidade-0,00%31,55%2,36%3,68%3,68%3,68%37,26%49,21%56,71%156,07%
VolatilidadeNaN%0,93%1,04%0,93%0,93%0,93%0,94%1,20%1,15%1,71%
Índice de SharpeNaN-3,11-4,09127,79127,79127,7959,4212,816,060,75

Consistência

FundoMeses PositivosMeses NegativosMaior RetornoMenor Retorno
Western Asset RF Ativo Plus FIC de FIF RF Resp Limitada
97
88,99%
12
11,01%
28,37%-0,88%

Cotistas

Western Asset RF Ativo Plus FIC de FIF RF Resp Limitada

Atual
360

Drawdown

Western Asset RF Ativo Plus FIC de FIF RF Resp Limitada

Atual
-0.00%

Patrimônio

Western Asset RF Ativo Plus FIC de FIF RF Resp Limitada

Atual
R$ 6,99 mi

Volatilidade

Western Asset RF Ativo Plus FIC de FIF RF Resp Limitada

Atual
0.89%