Elliot Foster

Bb Multimercado Multigestor Plus Private FIC FIF RL

Ativo
04.128.557/0001-63

Administrador: Bb

Gestor: Bb

Cotistas

482

Patrimônio Líquido

R$ 204,27 mi

Características da classe

Categoria CVM

FI

Categoria ANBIMA

Multimercados Dinâmico

Benchmark

DI de um dia

Primeira cota

02/01/2015

Composição do fundo

FIF

Tipo de Investidor

Qualificado

Rentabilidade 12M

+13.37%

Índice de Sharpe 12M

-0.28

PL Médio 12M

R$ 212,85 mi

RCVM 175

23/06/2025

Composição da carteira

BB MULTIMERCADO MULTIGESTOR PLUS PRIVATE FIC FIF RESPONSABILIDADE LIMITADA

  • Cotas de Fundos99.90%R$ 202,48 mi
  • Disponibilidades0.08%R$ 160.071,44
  • Valores a pagar0.02%R$ 39.467,21
  • Valores a receber0.01%R$ 10.503,36

Risco de Concentração

Carteira concentrada

Índice HHI

0.3853

Top 10

+100.00%

Maior posição

+50.31%

Posições

14

DETALHESVALOR% CLASSE% FUNDO
Cotas de Fundos
R$ 202,48 mi100%99.90%
Disponibilidades
R$ 160.071,44100%0.08%
Valores a pagar
R$ 39.467,21100%0.02%
Valores a receber
R$ 10.503,36100%0.01%
Evolução da Alocação
Evolução da Cota
Selecione o período para visualizar o desempenho do fundo

2843 dias de cotação

Rentabilidade histórica

AnoJanFevMarAbrMaiJunJulAgoSetOutNovDezNo anoAcumulado
2026Fundo2,21%1,20%-2,81%1,58%0,67%-------2,79%187,79%
% CDI189,49%119,87%-232,02%144,97%419,45%-------59,37%99,08%
2025Fundo0,86%-0,02%-0,14%2,86%1,74%2,29%-0,67%2,14%1,61%1,09%1,29%0,57%14,43%179,97%
% CDI84,88%-1,84%-14,74%270,87%152,51%208,67%-52,48%183,61%132,34%85,41%122,26%46,90%100,73%101,96%
2024Fundo-0,30%0,47%1,20%-1,72%0,37%0,82%1,52%1,13%1,21%0,49%1,29%0,50%7,15%144,66%
% CDI-31,04%58,54%144,04%-193,41%44,12%103,61%167,35%129,96%144,56%52,80%163,28%53,92%65,79%101,97%
2023Fundo1,24%0,02%0,18%0,62%1,21%1,33%1,39%-0,02%0,43%-0,45%2,42%2,29%11,14%128,33%
% CDI110,57%2,19%15,22%67,51%107,36%124,08%129,97%-1,95%43,91%-45,12%264,10%255,52%85,40%108,62%
2022Fundo1,66%0,98%2,59%1,18%1,18%0,12%1,14%2,44%1,36%1,44%-0,59%0,61%15,02%105,45%
% CDI226,98%130,39%279,72%141,20%113,98%11,58%110,25%208,48%127,21%141,13%-57,77%54,06%121,19%113,41%
2021Fundo-0,47%0,63%0,36%0,97%0,57%0,66%-0,98%0,35%0,46%-0,76%-0,09%1,12%2,82%78,62%
% CDI-314,77%466,70%179,87%468,99%210,84%215,08%-276,48%81,54%103,02%-156,96%-15,32%145,03%63,76%109,65%
2020Fundo0,44%-0,71%-4,34%1,85%1,10%1,22%1,60%0,14%-1,00%-0,43%2,28%2,12%4,15%73,72%
% CDI118,02%-242,79%-1.283,98%650,48%465,71%575,24%822,91%88,63%-639,93%-271,00%1.523,83%1.288,69%150,64%114,42%
2019Fundo1,45%0,17%0,15%0,41%0,71%1,33%0,97%0,61%0,24%0,93%0,05%1,89%9,28%66,79%
% CDI267,14%33,97%31,27%80,05%131,11%283,34%171,41%122,32%52,07%194,83%12,99%505,53%155,71%111,29%
2018Fundo1,45%0,87%0,91%0,61%-0,44%0,70%0,57%0,28%0,33%1,23%0,19%0,37%7,29%52,63%
% CDI247,76%187,87%170,44%118,51%-84,38%134,96%105,07%49,51%69,77%226,53%39,44%73,97%113,46%103,16%
2017Fundo1,60%1,25%0,92%0,74%-0,03%0,94%1,53%1,23%1,31%0,30%-0,01%0,87%11,19%42,27%
% CDI147,08%145,26%87,90%94,35%-2,75%115,82%192,18%153,86%205,69%47,22%-1,90%162,55%112,71%100,86%
2016Fundo1,09%0,68%0,90%1,81%0,48%1,50%1,64%1,25%1,32%1,75%0,27%1,38%14,99%27,95%
% CDI103,36%68,24%77,56%171,43%43,05%129,47%148,20%102,64%118,75%167,55%26,01%122,72%107,09%96,08%
2015Fundo0,18%1,62%1,36%0,72%0,70%0,77%1,42%0,22%0,81%1,13%0,98%0,84%11,27%11,27%
% CDI18,83%197,40%131,19%75,46%70,70%72,33%120,95%19,67%72,78%102,09%93,30%72,51%85,13%85,13%

Índices de Rentabilidade

No MêsNo Ano3 Meses6 Meses12 Meses24 Meses36 Meses48 Meses60 MesesTotal
Rentabilidade0,67%2,79%0,26%4,91%13,37%25,68%36,88%50,83%63,35%187,79%
Volatilidade6,55%5,62%6,25%5,20%4,27%3,52%3,32%3,11%3,12%3,00%
Índice de Sharpe9,34-1,20-1,95-0,93-0,28-0,30-0,54-0,70-0,49-0,02

Consistência

FundoMeses PositivosMeses NegativosMaior RetornoMenor Retorno
Bb Multimercado Multigestor Plus Private FIC FIF RL
117
85,40%
20
14,60%
2,86%-4,34%

Cotistas

Bb Multimercado Multigestor Plus Private FIC FIF RL

Atual
482

Drawdown

Bb Multimercado Multigestor Plus Private FIC FIF RL

Atual
-0.97%

Patrimônio

Bb Multimercado Multigestor Plus Private FIC FIF RL

Atual
R$ 204,27 mi

Volatilidade

Bb Multimercado Multigestor Plus Private FIC FIF RL

Atual
5.40%