Elliot Foster

Bradesco Pgblvgbl V30 Plus FI Financeiro Cic Mult Resp Limitada

Ativo
04.443.410/0001-68

Administrador: Banco Bradesco

Gestor: Banco Bradesco

Cotistas

1

Patrimônio Líquido

R$ 108,25 mi

Características da classe

Categoria CVM

FI

Categoria ANBIMA

Previdência Multimercado Livre

Benchmark

OUTROS

Primeira cota

02/01/2015

Composição do fundo

FIF

Tipo de Investidor

Profissional

Rentabilidade 12M

+21.53%

Índice de Sharpe 12M

1.25

PL Médio 12M

R$ 101,10 mi

RCVM 175

17/06/2025

Composição da carteira

BRADESCO PGBLVGBL - V30 PLUS FI FINANCEIRO - CIC MULT - RESP LIMITADA

  • Cotas de Fundos99.20%R$ 107,96 mi
  • Valores a pagar0.79%R$ 865.200,69
  • Disponibilidades0.01%R$ 10.000,00
  • Valores a receber0.00%R$ 0,00

Risco de Concentração

Carteira concentrada

Índice HHI

0.5811

Top 10

+100.00%

Maior posição

+70.70%

Posições

5

DETALHESVALOR% CLASSE% FUNDO
Cotas de Fundos
R$ 107,96 mi100%99.20%
Valores a pagar
R$ 865.200,69100%0.79%
Disponibilidades
R$ 10.000,00100%0.01%
Valores a receber
R$ 0,00100%0.00%
Evolução da Alocação
Evolução da Cota
Selecione o período para visualizar o desempenho do fundo

2844 dias de cotação

Rentabilidade histórica

AnoJanFevMarAbrMaiJunJulAgoSetOutNovDezNo anoAcumulado
2026Fundo4,83%1,91%-0,70%1,30%0,42%-------7,92%221,81%
% CDI415,32%191,33%-57,98%119,44%264,82%-------168,33%117,03%
2025Fundo2,33%0,18%2,27%1,47%1,51%0,36%0,26%2,29%1,92%1,37%2,66%1,32%19,45%198,19%
% CDI230,00%17,83%234,96%139,63%133,03%33,19%20,32%196,97%157,45%107,45%252,93%108,02%135,82%112,28%
2024Fundo-0,77%1,17%0,05%0,49%-0,48%0,96%1,04%2,84%-0,12%0,21%-0,81%-0,35%4,25%149,62%
% CDI-79,76%146,09%5,44%55,17%-57,53%121,98%114,58%326,87%-14,06%22,86%-101,85%-37,52%39,08%105,47%
2023Fundo1,47%-1,07%0,31%0,40%2,55%3,28%1,17%0,18%0,16%-0,18%4,08%2,50%15,74%139,45%
% CDI131,19%-116,90%26,81%43,74%226,75%305,75%108,91%15,57%15,95%-18,35%445,67%278,99%120,69%118,03%
2022Fundo2,44%0,57%2,81%-2,08%1,08%-2,32%1,56%3,07%0,07%2,58%-0,34%0,43%10,12%106,89%
% CDI332,66%75,18%303,63%-249,89%104,09%-228,09%150,81%262,53%6,44%252,67%-33,57%38,39%81,71%114,96%
2021Fundo0,04%-1,59%1,22%1,01%1,46%0,60%-0,12%-1,12%-1,71%-1,16%-0,23%1,00%-0,66%87,87%
% CDI28,99%-1.179,56%604,44%484,35%540,52%195,36%-34,65%-261,25%-386,86%-238,77%-38,62%130,45%-14,98%122,54%
2020Fundo0,25%-2,90%-7,83%3,61%1,64%3,14%2,97%-0,63%-2,47%1,01%4,04%2,38%4,62%89,12%
% CDI65,98%-988,44%-2.313,59%1.265,51%695,89%1.480,52%1.528,35%-394,29%-1.574,08%642,82%2.700,84%1.444,90%167,59%138,32%
2019Fundo3,32%0,45%-0,54%0,92%0,81%1,34%1,10%-0,31%1,63%1,32%0,16%2,14%12,98%80,77%
% CDI610,66%91,38%-116,13%177,45%149,78%285,48%193,48%-61,99%351,71%275,63%41,42%570,87%217,84%134,57%
2018Fundo3,44%1,32%-0,55%1,18%-3,25%-1,30%3,64%-1,07%1,69%2,86%1,24%-0,21%9,13%59,99%
% CDI589,41%284,52%-103,51%228,65%-628,00%-250,53%671,54%-188,27%361,83%527,34%251,25%-42,22%142,25%117,60%
2017Fundo2,71%2,11%-0,19%0,26%0,31%-0,12%2,16%2,92%1,63%0,90%-0,40%1,85%15,02%46,60%
% CDI249,61%243,82%-18,23%33,69%33,80%-15,21%271,53%364,77%256,13%140,52%-71,30%344,43%151,28%111,21%
2016Fundo-2,39%2,69%8,48%2,38%-2,15%2,02%3,89%1,82%0,61%3,68%-0,79%0,45%22,21%27,46%
% CDI-226,47%268,67%730,30%226,01%-194,53%174,49%351,61%149,84%55,40%351,70%-76,65%40,06%158,65%94,41%
2015Fundo-0,83%2,88%0,48%2,91%-0,05%0,16%-1,01%-0,80%-1,13%1,68%0,86%-0,82%4,30%4,30%
% CDI-88,85%352,31%46,30%306,41%-4,88%14,56%-85,53%-72,08%-102,20%151,63%81,18%-70,35%32,48%32,48%

Índices de Rentabilidade

No MêsNo Ano3 Meses6 Meses12 Meses24 Meses36 Meses48 Meses60 MesesTotal
Rentabilidade0,42%7,92%2,93%11,05%21,53%32,70%52,56%66,95%69,29%221,81%
Volatilidade5,76%6,26%6,27%6,02%4,94%4,61%4,49%5,01%5,13%6,69%
Índice de Sharpe4,921,77-0,181,791,250,480,590,09-0,120,16

Consistência

FundoMeses PositivosMeses NegativosMaior RetornoMenor Retorno
Bradesco Pgblvgbl V30 Plus FI Financeiro Cic Mult Resp Limitada
97
70,80%
40
29,20%
8,48%-7,83%

Cotistas

Bradesco Pgblvgbl V30 Plus FI Financeiro Cic Mult Resp Limitada

Atual
1

Drawdown

Bradesco Pgblvgbl V30 Plus FI Financeiro Cic Mult Resp Limitada

Atual
-1.31%

Patrimônio

Bradesco Pgblvgbl V30 Plus FI Financeiro Cic Mult Resp Limitada

Atual
R$ 108,25 mi

Volatilidade

Bradesco Pgblvgbl V30 Plus FI Financeiro Cic Mult Resp Limitada

Atual
4.93%