Elliot Foster

Bradesco H PGBL VGBL Valor FI Financeiro Cic Mult Resp Limitada

Ativo
08.757.682/0001-93

Administrador: Banco Bradesco

Gestor: Banco Bradesco

Cotistas

1

Patrimônio Líquido

R$ 8,47 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

+9.24%

Índice de Sharpe 12M

20.83

PL Médio 12M

R$ 8,67 mi

RCVM 175

11/06/2025

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

2005 dias de cotação

Rentabilidade histórica

AnoJanFevMarAbrMaiJunJulAgoSetOutNovDezNo anoAcumulado
2026Fundo44,03%2,34%-1,81%1,11%0,58%-------47,18%157,81%
% CDI3.782,07%234,87%-149,20%101,45%359,77%-------1.002,57%83,26%
2025Fundo--------------
% CDI--------------
2024Fundo--------------
% CDI--------------
2023Fundo--------------
% CDI--------------
2022Fundo3,41%0,20%3,93%-3,90%0,88%-3,69%-4,92%0,93%1,74%0,38%-8,73%75,16%
% CDI465,24%26,41%423,66%-467,87%84,59%-363,13%-420,80%87,02%170,88%36,85%-70,47%80,84%
2021Fundo-0,22%-2,86%1,79%1,29%2,11%0,65%-0,59%-2,25%-3,33%-2,31%-1,02%1,12%-5,66%61,10%
% CDI-146,29%-2.125,07%891,34%622,60%782,26%212,71%-164,81%-526,58%-752,28%-475,77%-174,62%145,02%-127,84%85,21%
2020Fundo0,00%-5,19%-13,18%5,50%2,25%4,85%4,58%-1,39%-4,21%1,44%6,63%3,65%3,11%70,75%
% CDI0,36%-1.767,63%-3.895,10%1.931,50%952,21%2.284,40%2.354,42%-866,37%-2.682,91%918,11%4.436,30%2.216,70%112,67%109,81%
2019Fundo4,95%0,18%-1,42%0,95%0,75%1,74%1,17%-1,02%2,25%1,64%-0,07%3,24%15,14%65,61%
% CDI910,64%36,59%-302,58%182,49%138,77%371,08%206,68%-204,05%485,19%341,62%-19,25%864,40%254,01%109,32%
2018Fundo4,99%1,44%-1,53%1,42%-5,85%-2,63%5,53%-2,32%2,22%4,08%1,56%-0,89%7,64%43,83%
% CDI855,89%310,01%-288,70%274,95%-1.130,67%-507,84%1.019,55%-408,64%474,18%752,01%315,13%-179,68%119,01%85,92%
2017Fundo3,41%3,13%-1,16%-0,59%-0,70%-1,13%2,85%3,69%2,06%0,88%-1,31%2,51%14,26%33,62%
% CDI314,08%361,89%-110,25%-75,17%-75,59%-139,94%357,68%460,83%322,33%136,17%-231,60%467,19%143,71%80,23%
2016Fundo-3,81%3,10%11,70%3,73%-3,35%2,70%5,89%2,33%0,26%5,43%-3,96%-0,12%25,31%16,94%
% CDI-361,15%309,70%1.007,99%354,06%-302,85%232,72%531,72%191,89%23,42%518,14%-382,17%-10,26%180,79%58,23%
2015Fundo-1,77%3,95%-0,02%3,64%-1,25%-0,70%-3,23%-3,38%-4,71%2,69%0,60%-2,28%-6,68%-6,68%
% CDI-190,84%482,39%-1,53%383,74%-127,20%-65,43%-274,25%-305,33%-425,07%243,19%56,80%-196,25%-50,44%-50,44%

Índices de Rentabilidade

No MêsNo Ano3 Meses6 Meses12 Meses24 Meses36 Meses48 Meses60 MesesTotal
Rentabilidade0,58%47,18%2,37%9,24%9,24%9,24%9,24%57,67%51,44%157,81%
Volatilidade9,02%9,88%9,83%9,88%9,88%9,88%9,88%10,70%9,80%12,16%
Índice de Sharpe5,281,62-0,3820,8320,8320,8320,837,511,720,23

Consistência

FundoMeses PositivosMeses NegativosMaior RetornoMenor Retorno
Bradesco H PGBL VGBL Valor FI Financeiro Cic Mult Resp Limitada
60
60,61%
39
39,39%
44,03%-13,18%

Cotistas

Bradesco H PGBL VGBL Valor FI Financeiro Cic Mult Resp Limitada

Atual
1

Drawdown

Bradesco H PGBL VGBL Valor FI Financeiro Cic Mult Resp Limitada

Atual
-2.64%

Patrimônio

Bradesco H PGBL VGBL Valor FI Financeiro Cic Mult Resp Limitada

Atual
R$ 8,47 mi

Volatilidade

Bradesco H PGBL VGBL Valor FI Financeiro Cic Mult Resp Limitada

Atual
7.83%