Administrador: Banco Bradesco
Gestor: Banco Bradesco
Cotistas
5
Patrimônio Líquido
R$ 251,48 mi
Categoria CVM
Categoria ANBIMA
Renda Fixa Duração Livre Crédito Livre
Benchmark
Primeira cota
02/01/2015
Composição do fundo
Tipo de Investidor
Rentabilidade 12M
+13.88%
Índice de Sharpe 12M
-0.20
PL Médio 12M
R$ 185,00 mi
RCVM 175
16/05/2025
BRAM FIF - CLASSE DE INVESTIMENTO RENDA FIXA INDEX IRF-M - RESP LIMITADA
Índice HHI
0.0524
Top 10
+65.11%
Maior posição
+9.62%
Posições
38
| DETALHES | VALOR | % CLASSE | % FUNDO |
|---|---|---|---|
Títulos Públicos | R$ 181,08 mi | 100% | 78.53% |
Cotas de Fundos | R$ 22,19 mi | 100% | 9.62% |
Valores a pagar | R$ 1,12 mi | 100% | 0.49% |
Valores a receber | R$ 473.912,43 | 100% | 0.21% |
Mercado Futuro - Posições compradas | R$ 108.044,88 | 100% | 0.05% |
Disponibilidades | R$ 10.000,00 | 100% | 0.00% |
2844 dias de cotação
| Ano | Jan | Fev | Mar | Abr | Mai | Jun | Jul | Ago | Set | Out | Nov | Dez | No ano | Acumulado | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 2026 | Fundo | 1,95% | 1,00% | -0,60% | 1,23% | 0,37% | - | - | - | - | - | - | - | 3,99% | 214,78% |
| % CDI | 167,74% | 99,88% | -49,74% | 112,83% | 230,52% | - | - | - | - | - | - | - | 84,76% | 113,33% | |
| 2025 | Fundo | 2,58% | 0,60% | 1,38% | 2,99% | 1,00% | 1,78% | 0,29% | 1,66% | 1,25% | 1,37% | 1,67% | 0,29% | 18,19% | 202,71% |
| % CDI | 254,21% | 61,33% | 143,42% | 282,91% | 87,39% | 162,40% | 23,04% | 142,34% | 102,57% | 107,59% | 158,34% | 24,16% | 126,96% | 114,84% | |
| 2024 | Fundo | 0,66% | 0,45% | 0,53% | -0,53% | 0,66% | -0,30% | 1,34% | 0,65% | 0,34% | 0,21% | -0,53% | -1,66% | 1,81% | 156,13% |
| % CDI | 68,75% | 56,74% | 63,86% | -60,02% | 79,10% | -37,56% | 148,12% | 75,16% | 40,61% | 22,22% | -66,73% | -178,43% | 16,64% | 110,05% | |
| 2023 | Fundo | 0,84% | 0,85% | 2,14% | 1,10% | 2,21% | 2,11% | 0,89% | 0,75% | 0,16% | 0,37% | 2,48% | 1,48% | 16,46% | 151,57% |
| % CDI | 74,43% | 92,73% | 182,14% | 119,68% | 196,54% | 197,24% | 82,74% | 66,11% | 16,64% | 37,02% | 270,22% | 164,96% | 126,24% | 128,30% | |
| 2022 | Fundo | -0,08% | 0,59% | 0,83% | -0,13% | 0,57% | 0,36% | 1,15% | 2,07% | 1,40% | 0,92% | -0,66% | 1,47% | 8,80% | 116,02% |
| % CDI | -10,98% | 77,73% | 90,06% | -15,00% | 55,21% | 35,69% | 110,93% | 176,96% | 130,47% | 90,13% | -65,10% | 131,21% | 71,01% | 124,78% | |
| 2021 | Fundo | -0,80% | -1,20% | -0,85% | 0,85% | 0,20% | 0,21% | -0,47% | -0,59% | -0,32% | -2,63% | 1,78% | 1,88% | -2,01% | 98,55% |
| % CDI | -537,93% | -892,79% | -422,90% | 406,74% | 75,53% | 69,48% | -132,54% | -138,94% | -71,81% | -540,76% | 304,13% | 244,39% | -45,42% | 137,44% | |
| 2020 | Fundo | 0,88% | 0,65% | -0,11% | 1,16% | 1,43% | 0,79% | 1,10% | -0,76% | -0,57% | -0,33% | 0,36% | 1,95% | 6,71% | 102,62% |
| % CDI | 233,37% | 222,80% | -31,07% | 407,65% | 604,69% | 370,36% | 565,01% | -473,20% | -364,91% | -208,22% | 240,41% | 1.184,28% | 243,31% | 159,27% | |
| 2019 | Fundo | 1,36% | 0,28% | 0,57% | 0,61% | 1,83% | 2,21% | 1,14% | 0,19% | 1,64% | 1,77% | -0,46% | 0,63% | 12,38% | 89,88% |
| % CDI | 250,37% | 56,59% | 121,68% | 117,70% | 336,38% | 471,49% | 200,34% | 38,74% | 353,47% | 369,75% | -120,54% | 166,99% | 207,79% | 149,75% | |
| 2018 | Fundo | 1,38% | 1,20% | 1,40% | 0,39% | -1,97% | -0,03% | 1,59% | -1,09% | 1,19% | 3,93% | 1,02% | 1,52% | 10,92% | 68,95% |
| % CDI | 236,58% | 258,41% | 262,95% | 75,67% | -380,84% | -5,26% | 293,80% | -192,59% | 254,31% | 723,23% | 207,02% | 307,32% | 170,10% | 135,16% | |
| 2017 | Fundo | 2,46% | 2,02% | 1,45% | 0,45% | 0,16% | 1,40% | 2,51% | 1,07% | 1,56% | -0,00% | 0,13% | 1,26% | 15,43% | 52,32% |
| % CDI | 226,69% | 234,09% | 138,07% | 57,26% | 17,70% | 172,90% | 314,38% | 133,11% | 245,26% | -0,08% | 23,64% | 234,98% | 155,44% | 124,85% | |
| 2016 | Fundo | 2,54% | 1,71% | 3,62% | 3,22% | 0,43% | 2,01% | 1,29% | 0,99% | 2,05% | 1,17% | 0,38% | 1,88% | 23,44% | 31,96% |
| % CDI | 240,79% | 171,02% | 312,15% | 305,79% | 38,56% | 172,90% | 116,77% | 81,79% | 184,80% | 112,02% | 36,37% | 167,94% | 167,45% | 109,85% | |
| 2015 | Fundo | 2,00% | 0,52% | 0,01% | 0,83% | 1,59% | 0,23% | 1,30% | -1,10% | -1,21% | 0,94% | 0,96% | 0,67% | 6,90% | 6,90% |
| % CDI | 215,11% | 62,93% | 0,53% | 88,02% | 162,07% | 21,54% | 110,75% | -99,31% | -109,70% | 84,94% | 91,14% | 57,89% | 52,11% | 52,11% |
| No Mês | No Ano | 3 Meses | 6 Meses | 12 Meses | 24 Meses | 36 Meses | 48 Meses | 60 Meses | Total | |
|---|---|---|---|---|---|---|---|---|---|---|
| Rentabilidade | 0,37% | 3,99% | 1,94% | 5,89% | 13,88% | 23,06% | 37,85% | 57,46% | 59,10% | 214,78% |
| Volatilidade | 6,64% | 4,42% | 5,05% | 4,15% | 3,28% | 3,50% | 3,15% | 3,28% | 3,34% | 3,88% |
| Índice de Sharpe | 3,30 | -0,76 | -1,23 | -0,55 | -0,20 | -0,66 | -0,50 | -0,32 | -0,63 | 0,21 |
| Fundo | Meses Positivos | Meses Negativos | Maior Retorno | Menor Retorno |
|---|---|---|---|---|
| Bram FIF Classe de Investimento RF Index Irf M Resp Limitada | 111 81,02% | 26 18,98% | 3,93% | -2,63% |
Bram FIF Classe de Investimento RF Index Irf M Resp Limitada
Bram FIF Classe de Investimento RF Index Irf M Resp Limitada
Bram FIF Classe de Investimento RF Index Irf M Resp Limitada
Bram FIF Classe de Investimento RF Index Irf M Resp Limitada