Elliot Foster

Western Asset Global Plus FI Financeiro Multimercado LP RL

Ativo
11.783.804/0001-20

Administrador: Bny Mellon

Gestor: Franklin Templeton Brasil

Cotistas

1

Patrimônio Líquido

R$ 1,94 mi

Características da classe

Categoria CVM

FI

Categoria ANBIMA

Multimercados Livre

Benchmark

DI de um dia

Primeira cota

02/01/2015

Composição do fundo

FI

Tipo de Investidor

Público Geral

Rentabilidade 12M

+3.95%

Índice de Sharpe 12M

45.20

PL Médio 12M

R$ 2,25 mi

RCVM 175

08/05/2025

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

2018 dias de cotação

Rentabilidade histórica

AnoJanFevMarAbrMaiJunJulAgoSetOutNovDezNo anoAcumulado
2026Fundo32,55%0,68%0,12%1,25%-0,14%-------35,08%174,99%
% CDI2.796,08%68,60%9,49%114,37%-269,14%-------763,61%92,48%
2025Fundo--------------
% CDI--------------
2024Fundo--------------
% CDI--------------
2023Fundo--------------
% CDI--------------
2022Fundo0,82%0,91%1,40%1,39%0,70%-1,15%-0,36%4,06%1,10%0,14%--9,28%103,57%
% CDI111,87%120,52%150,69%166,15%67,38%-113,62%-34,62%346,77%102,91%13,72%--74,88%111,39%
2021Fundo-0,27%-0,27%-1,53%1,71%2,00%1,47%0,61%0,22%0,34%-4,93%2,60%-0,10%1,64%86,29%
% CDI-182,15%-200,16%-759,93%822,95%740,81%477,59%171,51%51,23%77,02%-1.015,00%442,77%-12,82%37,14%120,34%
2020Fundo1,25%-0,24%-1,43%1,66%-0,12%0,88%1,78%-0,62%-1,31%-0,29%1,48%2,48%5,57%83,27%
% CDI331,20%-81,75%-423,32%583,87%-49,42%413,86%914,41%-389,89%-837,10%-181,72%992,55%1.509,59%201,86%129,25%
2019Fundo2,06%0,27%0,66%0,48%1,09%1,00%0,44%-0,30%0,81%2,05%-0,83%1,91%10,02%73,61%
% CDI379,09%54,51%140,40%92,18%200,28%213,39%76,86%-58,89%175,41%427,58%-219,27%510,80%168,19%122,65%
2018Fundo1,18%0,91%2,87%0,35%-0,48%1,14%1,31%-0,23%0,57%1,11%0,63%1,37%11,22%57,79%
% CDI201,85%196,76%540,30%67,54%-93,67%220,35%240,78%-41,13%122,58%204,55%126,85%278,20%174,80%113,28%
2017Fundo1,04%1,89%1,38%0,66%-1,03%0,93%1,56%1,18%1,44%0,26%-0,10%0,87%10,51%41,87%
% CDI95,67%218,31%131,16%83,51%-111,49%115,12%195,91%147,50%225,84%41,00%-17,53%160,99%105,87%99,91%
2016Fundo2,71%1,11%1,28%1,53%1,00%1,31%1,39%1,32%1,04%1,87%0,67%1,32%17,85%28,38%
% CDI256,71%110,87%110,32%144,64%90,40%113,23%125,54%108,99%93,50%178,18%64,81%117,76%127,47%97,55%
2015Fundo0,96%0,83%0,91%0,54%1,64%0,58%2,00%-0,50%-2,88%2,76%1,62%0,23%8,94%8,94%
% CDI103,78%101,58%87,82%57,34%166,60%54,24%169,83%-44,95%-260,36%249,55%153,98%19,78%67,51%67,51%

Índices de Rentabilidade

No MêsNo Ano3 Meses6 Meses12 Meses24 Meses36 Meses48 Meses60 MesesTotal
Rentabilidade-0,14%35,08%1,96%3,95%3,95%3,95%3,95%40,27%52,29%174,99%
VolatilidadeNaN%3,07%3,29%3,07%3,07%3,07%3,07%8,63%7,25%5,27%
Índice de SharpeNaN-0,65-2,1245,2045,2045,2045,205,702,090,68

Consistência

FundoMeses PositivosMeses NegativosMaior RetornoMenor Retorno
Western Asset Global Plus FI Financeiro Multimercado LP RL
77
77,78%
22
22,22%
32,55%-4,93%

Cotistas

Western Asset Global Plus FI Financeiro Multimercado LP RL

Atual
1

Drawdown

Western Asset Global Plus FI Financeiro Multimercado LP RL

Atual
-0.35%

Patrimônio

Western Asset Global Plus FI Financeiro Multimercado LP RL

Atual
R$ 1,94 mi

Volatilidade

Western Asset Global Plus FI Financeiro Multimercado LP RL

Atual
2.74%