Elliot Foster

Sopera FIF Multimercado CP IE RL

Ativo
17.073.538/0001-29

Administrador: Intrag

Gestor: Ubs Brasil Administradora de Valores Mobiliários

Cotistas

1

Patrimônio Líquido

R$ 1,46 mi

Características da classe

Categoria CVM

FI

Categoria ANBIMA

Multimercados Invest. no Exterior

Benchmark

DI de um dia

Primeira cota

02/01/2015

Composição do fundo

FI

Tipo de Investidor

Profissional

Rentabilidade 12M

+1.09%

Índice de Sharpe 12M

9.44

PL Médio 12M

R$ 3,55 mi

RCVM 175

30/04/2025

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

2464 dias de cotação

Rentabilidade histórica

AnoJanFevMarAbrMaiJunJulAgoSetOutNovDezNo anoAcumulado
2026Fundo9,99%0,87%0,65%-0,04%-0,51%-------11,06%168,82%
% CDI858,31%87,04%53,57%-3,32%-318,05%-------234,97%89,08%
2025Fundo1,19%0,44%----------1,63%142,06%
% CDI117,45%44,56%----------11,41%80,48%
2024Fundo0,02%0,53%0,78%-1,50%1,01%0,29%1,38%1,03%0,07%0,19%0,11%-1,42%2,49%138,17%
% CDI2,39%66,71%94,03%-169,35%121,20%37,38%152,21%119,14%8,08%20,74%13,77%-152,17%22,89%97,39%
2023Fundo1,02%0,49%1,01%0,73%1,84%1,70%0,98%0,23%-0,22%-0,47%2,70%2,11%12,76%132,38%
% CDI90,75%53,68%86,30%78,97%163,77%158,52%91,20%20,59%-22,31%-47,51%294,87%235,77%97,88%112,05%
2022Fundo-0,71%-0,04%1,06%-0,11%0,29%0,10%1,12%1,40%0,95%1,17%-0,58%0,64%5,41%106,08%
% CDI-97,54%-4,69%114,75%-12,62%28,19%10,16%108,47%119,73%88,58%115,08%-56,95%57,07%43,67%114,09%
2021Fundo0,05%0,15%0,45%1,11%0,50%0,02%-0,73%0,41%-0,30%-1,44%-0,21%1,26%1,26%95,50%
% CDI30,92%108,13%225,22%535,23%183,31%7,94%-204,21%96,44%-67,65%-295,79%-35,25%164,20%28,47%133,19%
2020Fundo0,55%-0,53%-6,53%2,43%2,06%2,41%2,84%0,65%-1,18%-0,10%2,74%2,87%8,10%93,07%
% CDI146,33%-179,28%-1.928,57%854,02%872,99%1.136,70%1.460,72%406,08%-748,70%-65,95%1.831,78%1.742,36%293,66%144,45%
2019Fundo2,19%0,62%0,60%0,76%1,26%1,96%0,67%0,87%1,14%1,41%-0,51%1,28%12,93%78,60%
% CDI403,60%124,76%128,99%146,15%232,62%417,57%118,66%172,56%244,96%294,55%-135,15%342,52%216,92%130,97%
2018Fundo2,05%0,53%0,91%0,27%-1,44%0,29%1,02%0,40%0,32%2,09%0,49%0,18%7,28%58,16%
% CDI350,74%113,99%171,22%52,77%-279,13%55,80%187,39%70,15%68,67%385,16%98,52%36,06%113,38%114,00%
2017Fundo------8,70%1,22%1,47%0,05%-0,12%0,85%12,51%47,42%
% CDI------1.091,53%151,85%230,75%7,98%-21,88%157,27%125,99%113,17%
2016Fundo1,47%0,90%0,54%1,43%0,97%0,02%1,57%1,12%1,21%1,09%1,16%1,56%13,85%31,04%
% CDI139,37%89,49%46,16%135,84%87,27%2,08%142,21%92,33%109,71%104,47%111,44%139,33%98,90%106,69%
2015Fundo1,01%2,13%2,49%-0,14%2,04%0,08%2,30%-0,02%0,99%1,08%1,12%1,11%15,10%15,10%
% CDI109,11%259,65%240,44%-14,43%207,37%7,77%195,45%-1,92%89,54%97,23%106,07%95,32%114,06%114,06%

Índices de Rentabilidade

No MêsNo Ano3 Meses6 Meses12 Meses24 Meses36 Meses48 Meses60 MesesTotal
Rentabilidade-0,51%11,06%1,11%1,09%1,09%15,17%25,48%37,27%37,50%168,82%
Volatilidade3,25%2,37%2,58%2,37%2,37%2,75%2,82%2,80%3,17%3,45%
Índice de Sharpe-15,16-4,84-3,989,449,440,11-0,49-0,82-1,200,22

Consistência

FundoMeses PositivosMeses NegativosMaior RetornoMenor Retorno
Sopera FIF Multimercado CP IE RL
98
80,99%
23
19,01%
9,99%-6,53%

Cotistas

Sopera FIF Multimercado CP IE RL

Atual
1

Drawdown

Sopera FIF Multimercado CP IE RL

Atual
-0.60%

Patrimônio

Sopera FIF Multimercado CP IE RL

Atual
R$ 1,46 mi

Volatilidade

Sopera FIF Multimercado CP IE RL

Atual
1.63%