Elliot Foster

Spx Nimitz Cshg FIF da Cic Multimercado RL

Ativo
18.764.158/0001-01

Administrador: Intrag

Gestor: Spx

Cotistas

1

Patrimônio Líquido

R$ 349,96 mi

Características da classe

Categoria CVM

FI

Categoria ANBIMA

Multimercados Macro

Benchmark

DI de um dia

Primeira cota

02/01/2015

Composição do fundo

FIF

Tipo de Investidor

Qualificado

Rentabilidade 12M

+9.70%

Índice de Sharpe 12M

-1.00

PL Médio 12M

R$ 399,82 mi

RCVM 175

09/05/2025

Composição da carteira

SPX NIMITZ CSHG FIF DA CIC MULTIMERCADO RESPONSABILIDADE LIMITADA

  • Cotas de Fundos99.97%R$ 344,83 mi
  • Valores a pagar0.02%R$ 73.361,29
  • Valores a receber0.01%R$ 30.561,17
  • Disponibilidades0.00%R$ 12.299,72

Risco de Concentração

Carteira concentrada

Índice HHI

0.9993

Top 10

+100.00%

Maior posição

+99.97%

Posições

4

DETALHESVALOR% CLASSE% FUNDO
Cotas de Fundos
R$ 344,83 mi100%99.97%
Valores a pagar
R$ 73.361,29100%0.02%
Valores a receber
R$ 30.561,17100%0.01%
Disponibilidades
R$ 12.299,72100%0.00%
Evolução da Alocação
Evolução da Cota
Selecione o período para visualizar o desempenho do fundo

2843 dias de cotação

Rentabilidade histórica

AnoJanFevMarAbrMaiJunJulAgoSetOutNovDezNo anoAcumulado
2026Fundo1,80%2,06%-5,47%1,57%0,16%--------0,07%261,96%
% CDI154,79%206,99%-451,07%143,84%102,12%--------1,58%138,22%
2025Fundo-0,61%0,97%-0,32%1,02%-0,01%1,90%-0,20%2,74%1,60%2,11%0,76%0,84%11,30%262,23%
% CDI-60,05%98,54%-32,69%97,00%-0,98%172,77%-15,47%235,31%131,19%165,19%72,44%69,11%78,87%148,56%
2024Fundo0,32%0,42%1,32%-1,01%-0,38%1,62%2,44%1,45%1,93%1,79%2,09%2,33%15,22%225,47%
% CDI33,39%52,40%158,69%-114,30%-45,42%205,77%268,92%167,22%231,33%192,78%263,70%249,85%139,97%158,93%
2023Fundo1,84%0,45%-0,69%0,40%-0,84%-3,36%-2,18%1,56%0,50%0,19%-0,86%1,64%-1,49%182,47%
% CDI163,63%49,27%-58,73%43,80%-75,11%-313,77%-203,76%137,15%50,90%18,68%-93,83%183,23%-11,45%154,45%
2022Fundo2,29%3,05%7,34%3,53%1,38%2,39%-1,18%2,11%5,15%-0,89%-5,03%0,11%21,56%186,75%
% CDI312,92%403,54%791,45%423,10%132,93%235,69%-114,39%180,60%480,69%-86,97%-492,80%9,44%174,00%200,85%
2021Fundo-0,67%5,43%2,56%-0,06%-0,58%0,30%-2,90%0,30%3,42%1,70%0,11%1,78%11,71%135,89%
% CDI-450,37%4.036,79%1.274,44%-29,31%-213,81%98,10%-816,83%69,10%774,45%349,78%17,94%231,73%264,74%189,51%
2020Fundo0,14%1,18%0,19%1,25%-1,02%1,22%0,97%1,56%-0,15%1,58%-1,52%2,32%7,92%111,16%
% CDI37,92%401,39%56,70%437,54%-431,10%575,29%498,70%972,82%-98,25%1.008,65%-1.015,95%1.409,08%287,21%172,53%
2019Fundo1,05%0,24%0,71%-0,03%1,58%1,49%0,67%1,50%-0,43%0,77%-0,72%0,65%7,69%95,66%
% CDI193,09%48,78%151,62%-5,77%291,62%316,87%117,47%298,97%-93,64%160,85%-189,92%172,23%129,10%159,39%
2018Fundo4,13%0,19%0,38%1,10%-0,60%2,25%-0,39%2,12%1,00%-0,60%-2,59%-3,16%3,68%81,68%
% CDI708,21%41,73%71,44%213,44%-115,40%435,47%-72,59%373,45%214,02%-110,18%-525,72%-639,48%57,26%160,11%
2017Fundo2,68%0,97%1,90%-0,14%1,00%1,32%2,84%0,43%2,35%-0,33%1,04%1,32%16,44%75,24%
% CDI247,22%111,88%180,73%-18,12%108,12%163,51%356,45%53,32%368,27%-50,82%183,92%245,21%165,68%179,55%
2016Fundo3,21%0,71%-3,18%3,48%1,79%-0,08%0,35%2,47%2,25%2,77%1,98%1,98%19,02%50,49%
% CDI304,02%71,20%-274,12%329,74%161,30%-7,27%31,64%203,83%203,54%264,53%190,72%176,41%135,86%173,56%
2015Fundo2,00%2,11%5,06%-1,56%2,79%0,91%5,23%1,80%1,59%0,54%1,96%1,45%26,44%26,44%
% CDI215,70%257,99%488,58%-164,55%283,62%85,35%444,39%162,19%143,37%48,50%185,39%124,54%199,73%199,73%

Índices de Rentabilidade

No MêsNo Ano3 Meses6 Meses12 Meses24 Meses36 Meses48 Meses60 MesesTotal
Rentabilidade0,16%-0,07%-2,41%1,73%9,70%27,27%24,07%29,02%60,65%261,96%
Volatilidade2,35%6,27%6,52%5,45%4,60%4,74%4,46%5,36%5,73%5,40%
Índice de Sharpe0,14-2,55-3,51-2,18-1,00-0,06-1,22-1,20-0,340,41

Consistência

FundoMeses PositivosMeses NegativosMaior RetornoMenor Retorno
Spx Nimitz Cshg FIF da Cic Multimercado RL
102
74,45%
35
25,55%
7,34%-5,47%

Cotistas

Spx Nimitz Cshg FIF da Cic Multimercado RL

Atual
1

Drawdown

Spx Nimitz Cshg FIF da Cic Multimercado RL

Atual
-4.12%

Patrimônio

Spx Nimitz Cshg FIF da Cic Multimercado RL

Atual
R$ 349,96 mi

Volatilidade

Spx Nimitz Cshg FIF da Cic Multimercado RL

Atual
2.15%