Elliot Foster

Bnp Paribas Capital Protegido Xiii FIC FIF Multimercado Resp LTDA

Ativo
20.658.901/0001-82

Administrador: Bny Mellon

Gestor: Bnp Paribas Asset Management Brasil

Cotistas

45

Patrimônio Líquido

R$ 6,12 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

+7.73%

Índice de Sharpe 12M

26.25

PL Médio 12M

R$ 6,02 mi

RCVM 175

09/04/2025

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

2210 dias de cotação

Rentabilidade histórica

AnoJanFevMarAbrMaiJunJulAgoSetOutNovDezNo anoAcumulado
2026Fundo27,36%3,90%1,22%1,04%0,15%-------35,55%216,59%
% CDI2.349,78%391,10%100,88%95,82%95,69%-------755,33%114,28%
2025Fundo--------------
% CDI--------------
2024Fundo--------------
% CDI--------------
2023Fundo0,47%0,66%1,16%0,56%0,47%2,78%2,29%-----8,67%133,56%
% CDI41,63%72,16%99,05%60,57%42,26%258,93%213,93%-----66,51%113,05%
2022Fundo0,76%0,75%0,90%0,71%-1,61%-3,17%1,91%0,83%0,41%0,07%0,13%0,38%1,98%114,92%
% CDI103,20%99,84%96,57%85,52%-156,01%-312,31%184,14%71,04%38,46%6,98%12,39%33,77%15,97%123,60%
2021Fundo0,05%2,40%-0,98%0,54%0,17%0,06%0,27%0,39%0,48%0,37%0,58%3,62%8,17%110,75%
% CDI35,03%1.784,82%-486,48%262,26%64,19%19,36%76,27%91,16%108,44%75,20%99,40%470,26%184,75%154,46%
2020Fundo1,20%-0,41%-1,47%3,22%1,80%0,65%1,96%1,40%-1,00%-0,29%1,70%0,10%9,10%94,83%
% CDI317,98%-140,67%-434,37%1.129,45%763,98%306,06%1.006,69%872,59%-638,33%-184,77%1.135,84%60,84%329,82%147,18%
2019Fundo1,05%1,50%1,42%1,40%0,69%2,55%-3,38%-1,83%1,96%1,58%-0,09%0,95%7,92%78,59%
% CDI193,52%302,99%303,48%269,65%127,73%544,00%-595,21%-364,88%422,31%330,52%-22,40%252,43%132,88%130,94%
2018Fundo3,27%0,05%0,55%-0,09%0,79%-0,87%2,17%0,17%2,18%-3,81%1,92%-2,08%4,12%65,48%
% CDI560,46%11,18%103,70%-17,67%152,06%-167,69%399,61%30,77%466,07%-700,97%388,73%-421,18%64,12%128,35%
2017Fundo1,78%1,55%1,42%1,43%1,74%1,85%1,83%1,98%1,78%2,00%-2,15%-0,33%15,85%58,94%
% CDI163,92%179,71%135,51%182,50%187,58%229,26%230,09%246,66%279,01%311,03%-379,10%-61,44%159,66%140,65%
2016Fundo0,67%-0,21%1,63%12,16%-2,60%0,05%2,17%1,17%1,83%0,76%0,71%1,57%21,05%37,20%
% CDI63,55%-20,66%140,19%1.152,75%-234,65%4,29%196,25%96,22%164,98%72,51%68,66%139,58%150,38%127,86%
2015Fundo1,84%1,06%1,23%0,29%1,32%0,28%2,16%-0,25%-0,08%2,13%1,85%0,80%13,34%13,34%
% CDI197,68%129,85%119,00%30,29%134,37%25,84%183,04%-22,56%-7,18%192,55%175,54%68,58%100,74%100,74%

Índices de Rentabilidade

No MêsNo Ano3 Meses6 Meses12 Meses24 Meses36 Meses48 Meses60 MesesTotal
Rentabilidade0,15%35,55%6,15%7,73%7,73%7,73%43,06%45,31%59,35%216,59%
Volatilidade0,00%5,19%6,12%5,19%5,19%5,19%4,79%5,28%4,50%8,16%
Índice de Sharpe-231,762,042,3826,2526,2526,2521,363,031,990,51

Consistência

FundoMeses PositivosMeses NegativosMaior RetornoMenor Retorno
Bnp Paribas Capital Protegido Xiii FIC FIF Multimercado Resp LTDA
88
81,48%
20
18,52%
27,36%-3,81%

Cotistas

Bnp Paribas Capital Protegido Xiii FIC FIF Multimercado Resp LTDA

Atual
45

Drawdown

Bnp Paribas Capital Protegido Xiii FIC FIF Multimercado Resp LTDA

Atual
0.00%

Patrimônio

Bnp Paribas Capital Protegido Xiii FIC FIF Multimercado Resp LTDA

Atual
R$ 6,12 mi

Volatilidade

Bnp Paribas Capital Protegido Xiii FIC FIF Multimercado Resp LTDA

Atual
0.02%