Elliot Foster

Tagus High Yield FIC FI Multimercado

Ativo
12.120.451/0001-41

Administrador: Btg Pactual S/A

Gestor: Tagus Investimentos

Cotistas

51

Patrimônio Líquido

R$ 4,24 mi

Características da classe

Categoria CVM

FI

Categoria ANBIMA

Multimercados Livre

Benchmark

Não se aplica

Primeira cota

02/01/2015

Composição do fundo

FIF

Tipo de Investidor

Público Geral

Rentabilidade 12M

+4.24%

Índice de Sharpe 12M

255.52

PL Médio 12M

R$ 4,36 mi

RCVM 175

25/05/2024

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

2226 dias de cotação

Rentabilidade histórica

AnoJanFevMarAbrMaiJunJulAgoSetOutNovDezNo anoAcumulado
2026Fundo13,42%0,85%1,15%1,02%0,11%-------17,01%157,94%
% CDI1.152,58%85,61%94,65%93,90%70,27%-------361,54%83,34%
2025Fundo--------------
% CDI--------------
2024Fundo--------------
% CDI--------------
2023Fundo-3,34%0,84%0,97%0,76%0,27%1,29%0,66%-----1,38%120,44%
% CDI-297,48%91,37%82,31%82,79%24,29%120,62%61,22%-----10,56%101,94%
2022Fundo0,25%0,83%0,80%1,22%-0,13%2,15%0,46%1,17%1,47%1,12%1,74%1,38%13,16%117,44%
% CDI33,69%110,32%86,72%146,02%-12,70%211,40%44,09%100,26%136,70%109,73%170,08%122,71%106,17%126,31%
2021Fundo0,23%-0,18%0,26%-0,56%0,79%0,85%0,17%-0,07%0,51%0,01%0,52%0,45%3,01%92,16%
% CDI155,87%-132,12%128,23%-267,58%293,63%275,39%46,67%-17,33%115,03%1,80%88,11%58,88%68,02%128,53%
2020Fundo0,85%0,63%0,25%0,73%0,02%0,52%0,45%0,21%-0,06%0,18%-0,29%0,05%3,61%86,55%
% CDI225,90%213,45%74,31%256,81%9,40%246,17%230,95%128,78%-35,89%116,90%-191,00%31,93%130,77%134,33%
2019Fundo3,40%-0,49%0,44%0,63%1,02%1,16%1,78%2,42%0,71%-0,22%1,34%1,42%14,41%80,06%
% CDI625,99%-99,53%93,87%121,01%187,08%246,97%313,98%481,57%153,88%-46,37%352,86%378,20%241,75%133,39%
2018Fundo-0,59%1,55%0,49%1,86%4,30%1,15%-0,82%0,18%-1,34%4,58%-2,78%0,20%8,87%57,38%
% CDI-100,53%332,57%92,29%359,16%829,93%222,49%-150,70%32,03%-287,26%844,28%-563,29%41,03%138,16%112,48%
2017Fundo0,85%0,85%2,52%0,47%3,87%-0,25%-0,69%-1,79%-0,18%1,16%2,37%-0,91%8,46%44,56%
% CDI78,67%98,00%240,33%59,82%418,51%-30,73%-86,22%-222,73%-27,61%179,64%417,95%-169,18%85,20%106,33%
2016Fundo3,50%0,38%3,32%1,50%0,73%0,83%-0,68%-1,04%-0,30%-2,36%6,04%2,76%15,36%33,29%
% CDI331,61%37,51%286,10%142,61%66,26%71,25%-61,76%-85,80%-27,09%-225,18%582,28%245,86%109,73%114,42%
2015Fundo-1,89%-0,59%3,94%-1,25%3,53%-2,57%5,05%2,57%5,48%0,46%-0,86%1,07%15,54%15,54%
% CDI-203,57%-71,58%380,51%-131,56%358,78%-240,71%428,77%232,30%494,67%41,44%-81,26%92,07%117,36%117,36%

Índices de Rentabilidade

No MêsNo Ano3 Meses6 Meses12 Meses24 Meses36 Meses48 Meses60 MesesTotal
Rentabilidade0,11%17,01%2,93%4,24%4,24%4,24%19,58%29,56%37,85%157,94%
Volatilidade0,52%0,19%0,21%0,19%0,19%0,19%0,93%8,25%6,55%6,01%
Índice de Sharpe-8,68-7,37-6,57255,52255,52255,5228,480,660,290,24

Consistência

FundoMeses PositivosMeses NegativosMaior RetornoMenor Retorno
Tagus High Yield FIC FI Multimercado
81
75,00%
27
25,00%
13,42%-3,34%

Cotistas

Tagus High Yield FIC FI Multimercado

Atual
51

Drawdown

Tagus High Yield FIC FI Multimercado

Atual
0.00%

Patrimônio

Tagus High Yield FIC FI Multimercado

Atual
R$ 4,24 mi

Volatilidade

Tagus High Yield FIC FI Multimercado

Atual
0.21%