Elliot Foster

Santander Comshell II Cd Cic de Classes de Investimento Multimercado Resp Limitada

Ativo
10.786.943/0001-45

Administrador: S3 Caceis Brasil Distribuidora de Titulos e Valores Mobiliarios

Gestor: Santander Brasil

Cotistas

1

Patrimônio Líquido

R$ 178,69 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

Profissional

Rentabilidade 12M

+17.64%

Índice de Sharpe 12M

0.56

PL Médio 12M

R$ 168,01 mi

RCVM 175

27/05/2025

Composição da carteira

SANTANDER COMSHELL II CD CIC DE CLASSES DE INVESTIMENTO MULTIMERCADO - RESP LIMITADA

  • Cotas de Fundos99.99%R$ 179,27 mi
  • Valores a pagar0.01%R$ 14.158,20
  • Disponibilidades0.01%R$ 10.000,02
  • Valores a receber0.00%R$ 294,40

Risco de Concentração

Carteira concentrada

Índice HHI

0.3599

Top 10

+100.00%

Maior posição

+42.45%

Posições

6

DETALHESVALOR% CLASSE% FUNDO
Cotas de Fundos
R$ 179,27 mi100%99.99%
Valores a pagar
R$ 14.158,20100%0.01%
Disponibilidades
R$ 10.000,02100%0.01%
Valores a receber
R$ 294,40100%0.00%
Evolução da Alocação
Evolução da Cota
Selecione o período para visualizar o desempenho do fundo

2842 dias de cotação

Rentabilidade histórica

AnoJanFevMarAbrMaiJunJulAgoSetOutNovDezNo anoAcumulado
2026Fundo3,60%1,85%-0,27%1,09%-0,26%-------6,10%236,87%
% CDI309,23%185,15%-22,08%99,68%-119,90%-------128,12%124,88%
2025Fundo2,04%0,08%2,19%2,48%1,33%1,37%-0,61%2,18%1,47%1,37%2,56%0,68%18,49%217,50%
% CDI201,13%8,40%227,04%234,55%117,07%124,54%-47,84%186,90%120,87%107,45%243,56%55,82%129,11%123,22%
2024Fundo-0,64%0,62%0,16%-0,85%0,14%0,09%1,77%1,90%-0,50%-0,19%-0,35%-1,61%0,48%167,95%
% CDI-66,41%77,09%18,71%-96,12%17,18%11,42%195,40%218,67%-60,15%-20,56%-43,55%-172,75%4,39%118,38%
2023Fundo0,81%-1,00%0,90%1,56%2,47%3,27%1,42%-0,66%0,13%-0,66%4,24%2,51%15,90%166,67%
% CDI72,45%-108,76%76,34%169,92%219,61%305,32%132,18%-57,82%13,80%-66,35%462,49%280,88%121,91%141,08%
2022Fundo1,28%0,80%2,48%-1,69%1,38%-2,05%1,18%2,48%1,08%1,87%-0,73%0,08%8,34%130,10%
% CDI174,98%106,23%267,99%-202,59%133,37%-201,68%113,90%211,69%101,14%182,88%-71,81%7,18%67,33%139,92%
2021Fundo-1,19%-1,46%0,79%1,03%1,60%0,38%-0,98%-1,04%-1,41%-2,55%1,15%1,33%-2,43%112,38%
% CDI-797,94%-1.083,18%391,38%497,12%590,65%124,63%-274,40%-244,10%-318,57%-525,09%196,02%172,43%-54,98%156,73%
2020Fundo0,22%-1,10%-7,21%2,80%2,81%2,84%3,44%-1,43%-1,57%-0,14%3,82%4,01%8,18%117,67%
% CDI57,46%-374,24%-2.131,21%984,14%1.192,12%1.338,87%1.767,79%-896,94%-997,85%-86,68%2.552,64%2.436,16%296,46%182,64%
2019Fundo3,98%-0,05%0,42%0,95%2,01%2,72%1,13%-0,06%2,07%2,12%-0,74%2,27%18,06%101,22%
% CDI732,02%-9,96%90,16%182,94%369,33%579,56%198,60%-11,58%446,10%442,93%-193,42%606,84%303,03%168,65%
2018Fundo3,60%0,64%0,94%0,36%-3,70%-1,00%3,19%-1,04%1,16%5,41%1,23%0,96%12,06%70,44%
% CDI617,39%137,86%176,82%68,70%-715,46%-194,17%588,85%-184,25%248,14%996,39%249,41%195,40%187,79%138,07%
2017Fundo2,70%2,78%0,58%0,36%-0,82%0,60%3,35%2,37%1,97%0,02%-0,88%2,02%15,99%52,10%
% CDI249,00%321,43%55,13%46,25%-89,03%74,54%419,81%295,17%309,14%2,40%-155,52%376,35%161,07%124,32%
2016Fundo0,64%2,35%5,20%3,52%-1,52%2,52%3,70%1,46%1,50%3,10%-1,38%0,91%24,09%31,13%
% CDI61,04%234,84%448,28%333,61%-137,57%216,80%334,14%120,45%135,09%296,12%-133,49%81,41%172,09%107,02%
2015Fundo1,01%2,12%-0,00%2,96%0,38%0,42%-0,32%-2,50%-0,72%1,46%0,43%0,40%5,67%5,67%
% CDI109,09%258,85%-0,35%312,34%38,40%39,71%-27,00%-225,57%-65,28%131,36%40,78%34,47%42,87%42,87%

Índices de Rentabilidade

No MêsNo Ano3 Meses6 Meses12 Meses24 Meses36 Meses48 Meses60 MesesTotal
Rentabilidade-0,26%6,10%1,77%8,60%17,64%26,12%42,16%55,52%55,39%236,87%
Volatilidade6,47%5,81%6,18%6,01%5,02%4,77%4,57%4,85%4,95%6,71%
Índice de Sharpe-4,530,72-0,790,710,56-0,14-0,07-0,28-0,500,22

Consistência

FundoMeses PositivosMeses NegativosMaior RetornoMenor Retorno
Santander Comshell II Cd Cic de Classes de Investimento Multimercado Resp Limitada
97
70,80%
40
29,20%
5,41%-7,21%

Cotistas

Santander Comshell II Cd Cic de Classes de Investimento Multimercado Resp Limitada

Atual
1

Drawdown

Santander Comshell II Cd Cic de Classes de Investimento Multimercado Resp Limitada

Atual
-1.37%

Patrimônio

Santander Comshell II Cd Cic de Classes de Investimento Multimercado Resp Limitada

Atual
R$ 178,69 mi

Volatilidade

Santander Comshell II Cd Cic de Classes de Investimento Multimercado Resp Limitada

Atual
5.71%