Elliot Foster

Bnp Paribas Capital Protegido X FIC FIF Multimercado Resp LTDA

Ativo
18.820.151/0001-51

Administrador: Bny Mellon

Gestor: Bnp Paribas Asset Management Brasil

Cotistas

20

Patrimônio Líquido

R$ 2,97 mi

Características da classe

Categoria CVM

FI

Categoria ANBIMA

Multimercados Capital Protegido

Benchmark

-

Primeira cota

02/01/2015

Composição do fundo

FIF

Tipo de Investidor

Público Geral

Rentabilidade 12M

+7.21%

Índice de Sharpe 12M

50.02

PL Médio 12M

R$ 2,96 mi

RCVM 175

09/04/2025

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

1961 dias de cotação

Rentabilidade histórica

AnoJanFevMarAbrMaiJunJulAgoSetOutNovDezNo anoAcumulado
2026Fundo41,89%3,50%1,20%1,02%0,15%-------50,36%154,48%
% CDI3.598,37%351,43%98,73%93,35%93,47%-------1.070,06%81,51%
2025Fundo--------------
% CDI--------------
2024Fundo--------------
% CDI--------------
2023Fundo--------------
% CDI--------------
2022Fundo0,74%0,75%0,90%0,71%-1,61%-3,17%0,09%------1,65%69,25%
% CDI101,71%99,37%96,77%85,07%-155,62%-311,82%8,39%------13,32%74,48%
2021Fundo0,12%0,05%0,17%0,13%0,24%0,27%0,35%0,40%0,42%0,50%0,54%0,72%3,97%72,09%
% CDI78,87%38,83%83,48%62,14%89,65%88,53%97,89%93,07%94,98%102,56%92,12%93,10%89,78%100,54%
2020Fundo1,91%-1,97%-2,08%6,35%0,92%1,58%-0,02%0,08%9,71%0,09%0,07%0,16%17,48%65,52%
% CDI508,31%-669,13%-613,68%2.228,50%391,26%745,27%-9,44%49,34%6.183,37%58,18%49,46%98,60%633,78%101,69%
2019Fundo28,69%1,69%1,60%2,69%-2,23%3,41%1,68%-0,34%1,10%-0,03%1,97%1,98%47,02%40,89%
% CDI5.282,46%343,20%340,89%519,73%-410,94%726,38%296,42%-67,84%237,34%-6,54%518,66%528,73%789,01%68,13%
2018Fundo0,19%-0,54%0,63%0,49%0,39%0,52%0,55%0,57%-0,95%-10,20%-7,01%-8,51%-22,18%-4,17%
% CDI31,94%-116,31%117,68%95,24%75,85%100,75%100,86%100,64%-201,98%-1.878,37%-1.419,61%-1.724,49%-345,48%-8,18%
2017Fundo9,87%0,86%-4,17%-0,59%-0,61%0,73%0,62%-0,13%1,60%-0,54%-0,08%1,14%8,47%23,15%
% CDI910,11%100,12%-397,19%-74,56%-65,77%90,12%78,07%-15,83%250,52%-84,15%-13,78%211,30%85,31%55,24%
2016Fundo2,66%-0,23%-1,74%0,28%2,34%0,79%3,13%-1,20%-0,13%5,16%2,00%1,30%15,11%13,53%
% CDI252,27%-22,51%-150,19%26,08%211,67%68,19%282,19%-98,67%-11,41%492,54%193,14%115,78%107,94%46,52%
2015Fundo-3,63%4,04%-2,59%-1,93%0,91%0,58%-1,46%-0,04%-1,47%1,54%2,01%0,92%-1,37%-1,37%
% CDI-390,47%493,77%-250,02%-203,78%92,22%54,07%-123,88%-3,34%-132,31%138,83%190,48%79,62%-10,34%-10,34%

Índices de Rentabilidade

No MêsNo Ano3 Meses6 Meses12 Meses24 Meses36 Meses48 Meses60 MesesTotal
Rentabilidade0,15%50,36%5,70%7,21%7,21%7,21%7,21%43,07%52,98%154,48%
Volatilidade0,01%4,54%5,35%4,54%4,54%4,54%4,54%6,29%3,59%11,98%
Índice de Sharpe-187,591,932,2950,0250,0250,0250,0215,585,960,24

Consistência

FundoMeses PositivosMeses NegativosMaior RetornoMenor Retorno
Bnp Paribas Capital Protegido X FIC FIF Multimercado Resp LTDA
67
69,79%
29
30,21%
41,89%-10,20%

Cotistas

Bnp Paribas Capital Protegido X FIC FIF Multimercado Resp LTDA

Atual
20

Drawdown

Bnp Paribas Capital Protegido X FIC FIF Multimercado Resp LTDA

Atual
0.00%

Patrimônio

Bnp Paribas Capital Protegido X FIC FIF Multimercado Resp LTDA

Atual
R$ 2,97 mi

Volatilidade

Bnp Paribas Capital Protegido X FIC FIF Multimercado Resp LTDA

Atual
0.02%