Elliot Foster

Spx Raptor One FIF Cic Multimercado CP RL

Ativo
18.096.027/0001-95

Administrador: Intrag

Gestor: Spx

Cotistas

17

Patrimônio Líquido

R$ 138,63 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

FIF

Tipo de Investidor

Qualificado

Rentabilidade 12M

+5.79%

Índice de Sharpe 12M

-0.87

PL Médio 12M

R$ 216,50 mi

RCVM 175

10/04/2025

Composição da carteira

SPX RAPTOR ONE FIF CIC MULTIMERCADO CRÉDITO PRIVADO RESPONSABILIDADE LIMITADA

  • Cotas de Fundos99.93%R$ 139,15 mi
  • Disponibilidades0.04%R$ 51.835,04
  • Valores a pagar0.02%R$ 27.817,36
  • Valores a receber0.01%R$ 15.280,59

Risco de Concentração

Carteira concentrada

Índice HHI

0.9986

Top 10

+100.00%

Maior posição

+99.93%

Posições

4

DETALHESVALOR% CLASSE% FUNDO
Cotas de Fundos
R$ 139,15 mi100%99.93%
Disponibilidades
R$ 51.835,04100%0.04%
Valores a pagar
R$ 27.817,36100%0.02%
Valores a receber
R$ 15.280,59100%0.01%
Evolução da Alocação
Evolução da Cota
Selecione o período para visualizar o desempenho do fundo

2843 dias de cotação

Rentabilidade histórica

AnoJanFevMarAbrMaiJunJulAgoSetOutNovDezNo anoAcumulado
2026Fundo2,71%3,27%-11,91%2,14%0,18%--------4,39%575,66%
% CDI232,93%327,60%-982,55%196,75%111,72%--------93,29%303,74%
2025Fundo-2,06%1,13%-1,43%1,19%-1,07%2,74%-1,57%4,39%2,09%3,09%0,58%0,58%9,85%606,69%
% CDI-203,79%114,58%-148,11%113,17%-93,73%249,62%-122,86%376,74%171,17%242,16%55,08%47,35%68,73%343,70%
2024Fundo-0,12%0,09%1,96%-2,75%-1,40%2,59%4,18%2,27%3,22%2,85%3,55%4,02%22,15%543,35%
% CDI-12,82%11,80%235,25%-310,39%-168,71%328,49%461,08%262,01%385,44%307,12%448,23%431,28%203,70%382,99%
2023Fundo3,02%-0,14%-2,41%0,09%-2,67%-7,49%-5,28%2,16%0,09%-0,45%-2,36%2,54%-12,66%426,67%
% CDI268,73%-15,09%-204,79%9,76%-237,69%-698,66%-492,64%190,10%8,74%-44,87%-258,07%283,51%-97,11%361,14%
2022Fundo4,93%6,65%17,20%7,62%2,02%4,25%-4,13%3,51%11,23%-3,53%-12,98%-1,08%37,62%503,02%
% CDI673,77%881,24%1.854,82%913,44%195,43%418,99%-398,96%300,25%1.047,38%-345,72%-1.271,63%-95,87%303,63%541,00%
2021Fundo-1,29%13,11%6,38%-0,25%-1,60%0,49%-7,24%0,31%7,97%3,71%-0,52%3,50%25,67%338,17%
% CDI-862,57%9.746,12%3.170,79%-122,05%-591,81%160,34%-2.036,07%72,92%1.802,29%764,07%-88,83%454,89%580,35%471,62%
2020Fundo0,14%2,29%0,09%2,34%-2,06%2,50%2,02%3,21%-0,27%3,35%-3,10%4,83%16,13%248,66%
% CDI37,50%780,72%26,36%822,67%-875,30%1.178,50%1.039,10%2.006,66%-169,23%2.134,88%-2.072,79%2.936,21%584,96%385,94%
2019Fundo1,87%0,20%1,15%-0,32%2,85%2,73%1,01%2,76%-1,11%1,28%-1,60%1,17%12,54%200,23%
% CDI345,26%41,38%245,29%-62,23%524,10%581,32%177,11%550,57%-239,12%267,81%-420,67%311,74%210,35%333,61%
2018Fundo9,81%0,01%0,39%2,22%-2,02%4,97%-1,11%4,25%1,98%-2,03%-5,55%-6,58%5,35%166,78%
% CDI1.680,97%1,28%73,76%429,59%-390,66%960,48%-203,91%749,02%423,86%-373,20%-1.123,54%-1.332,64%83,38%326,91%
2017Fundo5,37%1,33%3,33%-1,29%1,19%2,26%6,15%0,13%5,13%-1,55%1,97%2,70%29,81%153,22%
% CDI495,52%154,15%316,70%-164,41%128,74%279,97%771,23%15,61%804,13%-241,78%346,55%502,86%300,37%365,65%
2016Fundo6,37%0,70%-7,74%6,34%2,92%-1,20%-0,21%4,04%3,96%5,56%3,49%3,46%30,38%95,07%
% CDI603,92%69,48%-666,87%601,71%263,86%-103,01%-18,68%333,15%357,28%530,93%336,98%308,30%217,00%326,78%
2015Fundo4,48%3,65%9,85%-4,06%4,91%0,97%11,14%2,94%2,42%0,01%3,42%2,11%49,62%49,62%
% CDI482,42%446,35%950,66%-428,63%499,34%90,74%945,95%265,83%218,28%0,75%324,44%181,77%374,77%374,77%

Índices de Rentabilidade

No MêsNo Ano3 Meses6 Meses12 Meses24 Meses36 Meses48 Meses60 MesesTotal
Rentabilidade0,18%-4,39%-7,76%-2,71%5,79%29,43%11,50%9,24%63,58%575,66%
Volatilidade4,63%12,76%13,28%11,06%9,33%10,09%10,51%13,47%16,25%15,24%
Índice de Sharpe0,39-2,30-3,11-1,97-0,870,06-0,87-0,80-0,090,56

Consistência

FundoMeses PositivosMeses NegativosMaior RetornoMenor Retorno
Spx Raptor One FIF Cic Multimercado CP RL
96
70,07%
41
29,93%
17,20%-12,98%

Cotistas

Spx Raptor One FIF Cic Multimercado CP RL

Atual
17

Drawdown

Spx Raptor One FIF Cic Multimercado CP RL

Atual
-10.48%

Patrimônio

Spx Raptor One FIF Cic Multimercado CP RL

Atual
R$ 138,63 mi

Volatilidade

Spx Raptor One FIF Cic Multimercado CP RL

Atual
4.31%