Elliot Foster

Wm RF Ima Geral FIF RL

Ativo
10.566.018/0001-09

Administrador: Bny Mellon

Gestor: Itau Unibanco Asset Management

Cotistas

61

Patrimônio Líquido

R$ 6,13 mi

Características da classe

Categoria CVM

FI

Categoria ANBIMA

Renda Fixa Duração Livre Grau de Invest.

Benchmark

Índice de Mercado Andima Geral

Primeira cota

02/01/2015

Composição do fundo

FI

Tipo de Investidor

Público Geral

Rentabilidade 12M

+3.48%

Índice de Sharpe 12M

17.63

PL Médio 12M

R$ 6,12 mi

RCVM 175

27/05/2025

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

2409 dias de cotação

Rentabilidade histórica

AnoJanFevMarAbrMaiJunJulAgoSetOutNovDezNo anoAcumulado
2026Fundo17,68%1,12%0,13%1,18%-0,14%-------20,38%182,07%
% CDI1.518,39%111,95%10,45%108,21%-255,89%-------443,63%96,22%
2025Fundo--------------
% CDI--------------
2024Fundo0,37%0,53%0,47%-0,24%--------1,13%134,31%
% CDI37,90%65,92%56,64%-26,66%--------10,40%94,67%
2023Fundo0,59%0,97%1,89%1,19%1,86%1,74%0,87%0,51%0,04%0,09%1,85%1,56%13,95%131,69%
% CDI52,51%106,06%160,72%130,10%165,48%161,93%80,76%44,70%4,16%9,15%202,41%174,10%107,00%111,47%
2022Fundo-0,05%0,70%1,57%0,43%0,84%0,30%0,35%1,25%1,19%1,05%-0,23%0,72%8,42%103,32%
% CDI-6,46%92,92%169,41%51,37%80,91%29,65%34,15%107,06%111,01%102,71%-22,20%64,12%67,96%111,12%
2021Fundo-0,55%-0,88%-0,43%0,51%0,53%0,24%-0,14%-0,37%0,08%-1,67%1,87%0,79%-0,09%87,53%
% CDI-366,93%-656,60%-215,21%244,33%194,93%79,36%-40,45%-87,43%17,52%-343,65%317,98%102,10%-2,03%122,07%
2020Fundo0,41%0,44%-1,97%0,94%1,09%0,92%1,63%-0,75%-0,67%-0,06%0,72%2,06%4,81%87,70%
% CDI110,14%151,25%-581,07%330,07%462,98%432,94%838,18%-470,27%-424,27%-39,80%484,75%1.250,42%174,35%136,11%
2019Fundo1,97%0,36%0,49%0,82%1,86%2,02%0,90%0,03%1,47%1,73%-0,80%0,92%12,39%79,09%
% CDI363,23%73,59%105,38%159,09%342,17%431,51%157,82%6,59%316,67%360,19%-210,00%246,06%207,96%131,77%
2018Fundo1,67%0,71%0,91%0,21%-1,57%0,05%1,33%-0,35%0,58%3,38%0,61%1,23%9,04%59,34%
% CDI286,14%151,68%171,36%41,36%-302,67%10,62%244,74%-61,85%124,53%622,74%123,15%248,24%140,75%116,31%
2017Fundo1,59%1,87%1,11%0,31%0,18%0,77%2,23%1,00%1,15%0,09%-0,04%0,87%11,69%46,13%
% CDI147,04%216,60%105,32%39,04%19,58%95,31%279,69%124,51%180,93%14,34%-7,59%162,70%117,78%110,08%
2016Fundo1,93%1,62%3,52%3,04%0,20%1,78%1,59%1,03%1,41%0,91%0,25%1,77%20,74%30,84%
% CDI182,72%161,47%302,92%288,15%18,50%153,75%143,27%85,26%127,27%86,88%23,82%157,67%148,13%105,99%
2015Fundo1,95%0,39%0,09%1,50%1,81%0,26%0,59%-1,18%-0,59%1,49%0,95%0,83%8,36%8,36%
% CDI209,98%47,90%8,98%158,38%183,82%24,71%50,13%-106,54%-53,47%134,88%90,42%71,72%63,18%63,18%

Índices de Rentabilidade

No MêsNo Ano3 Meses6 Meses12 Meses24 Meses36 Meses48 Meses60 MesesTotal
Rentabilidade-0,14%20,38%2,28%3,48%3,48%3,48%31,93%46,14%52,91%182,07%
VolatilidadeNaN%3,62%4,13%3,62%3,62%3,62%2,40%2,53%2,59%3,67%
Índice de SharpeNaN-0,99-1,1617,6317,6317,634,882,100,760,43

Consistência

FundoMeses PositivosMeses NegativosMaior RetornoMenor Retorno
Wm RF Ima Geral FIF RL
97
82,91%
20
17,09%
17,68%-1,97%

Cotistas

Wm RF Ima Geral FIF RL

Atual
61

Drawdown

Wm RF Ima Geral FIF RL

Atual
-0.30%

Patrimônio

Wm RF Ima Geral FIF RL

Atual
R$ 6,13 mi

Volatilidade

Wm RF Ima Geral FIF RL

Atual
2.43%