Elliot Foster

Bradesco Prime FIF Cic Multi Multi Allocation Resp Limitada

Ativo
06.190.196/0001-00

Administrador: Banco Bradesco

Gestor: Banco Bradesco

Cotistas

70

Patrimônio Líquido

R$ 3,88 mi

Características da classe

Categoria CVM

FI

Categoria ANBIMA

Multimercados Livre

Benchmark

OUTROS

Primeira cota

02/01/2015

Composição do fundo

FIF

Tipo de Investidor

Público Geral

Rentabilidade 12M

+5.08%

Índice de Sharpe 12M

50.75

PL Médio 12M

R$ 4,38 mi

RCVM 175

15/05/2025

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

2272 dias de cotação

Rentabilidade histórica

AnoJanFevMarAbrMaiJunJulAgoSetOutNovDezNo anoAcumulado
2026Fundo23,80%0,59%1,09%1,65%0,29%-------28,34%148,89%
% CDI2.044,51%58,96%90,30%151,54%181,45%-------602,29%78,56%
2025Fundo--------------
% CDI--------------
2024Fundo--------------
% CDI--------------
2023Fundo0,92%0,79%1,04%0,73%1,32%0,94%0,82%0,39%0,06%---7,22%93,92%
% CDI81,78%86,19%88,47%79,06%117,89%87,30%76,45%34,48%5,72%---55,36%79,50%
2022Fundo0,54%0,64%1,07%0,54%0,65%-0,12%1,41%1,83%1,27%0,98%0,58%0,89%10,76%80,87%
% CDI74,08%84,51%115,51%64,66%62,83%-11,49%135,91%156,32%118,77%96,03%56,52%79,34%86,86%86,97%
2021Fundo-0,18%-0,44%0,11%0,27%0,28%-0,12%-0,27%0,10%-0,03%-0,95%0,48%1,00%0,22%63,29%
% CDI-122,96%-329,78%56,60%129,96%103,65%-40,55%-75,90%22,50%-7,67%-196,05%81,67%130,36%4,98%88,27%
2020Fundo0,48%-0,09%-2,02%1,13%0,84%0,57%0,42%-0,25%-0,45%-0,25%0,45%1,13%1,94%62,93%
% CDI127,85%-30,39%-598,22%396,42%356,67%266,84%218,19%-153,29%-288,16%-157,09%301,18%685,21%70,26%97,68%
2019Fundo0,55%0,27%0,33%0,41%0,73%0,59%0,62%0,04%1,00%0,34%0,01%0,84%5,89%59,84%
% CDI101,93%54,60%70,70%79,53%134,97%126,04%110,01%7,95%215,18%71,38%1,50%225,32%98,89%99,70%
2018Fundo0,39%0,66%0,72%0,49%0,00%0,10%0,35%0,42%0,36%0,56%0,40%0,46%5,02%50,94%
% CDI66,03%142,65%135,40%95,49%0,30%19,83%63,67%74,73%76,24%102,80%80,56%92,79%78,11%99,85%
2017Fundo2,55%2,59%2,63%0,14%1,06%0,98%1,02%1,09%1,38%-0,06%0,68%0,70%15,76%43,73%
% CDI234,98%299,81%250,19%17,99%114,33%121,16%128,09%135,69%217,15%-9,10%120,48%130,83%158,75%104,36%
2016Fundo0,67%0,56%0,24%2,57%-0,75%0,65%1,66%1,11%1,33%1,45%-0,37%2,19%11,85%24,17%
% CDI63,94%56,31%20,25%243,39%-67,45%55,60%149,69%91,47%120,14%138,68%-35,99%195,23%84,67%83,07%
2015Fundo0,79%0,60%1,38%0,37%1,59%0,78%1,76%0,33%-0,01%0,37%0,77%1,76%11,01%11,01%
% CDI85,06%73,56%133,14%39,17%161,88%73,59%149,36%30,13%-0,47%33,80%73,15%151,20%83,15%83,15%

Índices de Rentabilidade

No MêsNo Ano3 Meses6 Meses12 Meses24 Meses36 Meses48 Meses60 MesesTotal
Rentabilidade0,29%28,34%3,53%5,08%5,08%5,08%32,76%48,35%53,30%148,89%
Volatilidade3,43%1,94%2,13%1,94%1,94%1,94%1,76%1,59%1,63%2,33%
Índice de Sharpe3,860,750,9550,7550,7550,7520,178,023,190,33

Consistência

FundoMeses PositivosMeses NegativosMaior RetornoMenor Retorno
Bradesco Prime FIF Cic Multi Multi Allocation Resp Limitada
94
85,45%
16
14,55%
23,80%-2,02%

Cotistas

Bradesco Prime FIF Cic Multi Multi Allocation Resp Limitada

Atual
70

Drawdown

Bradesco Prime FIF Cic Multi Multi Allocation Resp Limitada

Atual
0.00%

Patrimônio

Bradesco Prime FIF Cic Multi Multi Allocation Resp Limitada

Atual
R$ 3,88 mi

Volatilidade

Bradesco Prime FIF Cic Multi Multi Allocation Resp Limitada

Atual
2.14%