Elliot Foster

Bb Br 206 FIF RF RL

Ativo
22.622.884/0001-59

Administrador: Bb

Gestor: Bb

Cotistas

1

Patrimônio Líquido

R$ 6,49 mi

Características da classe

Categoria CVM

FI

Categoria ANBIMA

Previdência RF Duração Livre Grau de Inv

Benchmark

DI de um dia

Primeira cota

27/08/2015

Composição do fundo

FI

Tipo de Investidor

Profissional

Rentabilidade 12M

+4.50%

Índice de Sharpe 12M

1059.48

PL Médio 12M

R$ 6,42 mi

RCVM 175

25/06/2025

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

2238 dias de cotação

Rentabilidade histórica

AnoJanFevMarAbrMaiJunJulAgoSetOutNovDezNo anoAcumulado
2026Fundo23,62%0,96%1,17%1,06%0,16%-------27,81%242,57%
% CDI2.028,88%96,63%96,84%96,88%97,33%-------590,91%144,71%
2025Fundo--------------
% CDI--------------
2024Fundo0,95%0,78%0,81%0,12%--------2,68%168,03%
% CDI97,83%97,39%97,27%13,30%--------24,61%135,99%
2023Fundo-1,41%1,04%3,56%3,09%3,92%3,57%0,86%1,11%0,94%0,96%0,89%0,87%21,04%161,05%
% CDI-125,94%112,88%302,84%336,65%348,61%333,34%79,78%97,63%96,32%96,15%97,35%97,21%161,36%158,45%
2022Fundo-1,72%0,03%2,70%-0,42%1,10%-1,28%-1,47%3,06%2,84%0,42%-1,08%-1,06%2,98%115,67%
% CDI-235,50%3,96%291,15%-50,90%106,41%-125,92%-141,99%261,75%265,29%40,99%-106,09%-94,58%24,04%147,58%
2021Fundo1,70%1,47%2,16%0,33%0,25%0,35%0,23%-0,68%-0,67%-2,17%3,39%-0,13%6,27%109,43%
% CDI1.137,50%1.089,45%1.076,11%160,64%93,02%112,50%63,76%-159,57%-152,16%-447,23%577,53%-17,35%141,70%186,39%
2020Fundo0,87%0,45%1,16%0,87%0,59%1,17%1,43%1,62%2,19%1,88%2,84%1,92%18,33%97,08%
% CDI231,88%152,68%342,21%304,80%248,80%549,63%734,97%1.015,17%1.394,65%1.199,15%1.896,69%1.167,52%664,82%186,73%
2019Fundo0,65%1,17%1,40%1,22%0,94%1,02%0,90%0,31%0,57%0,92%0,72%1,75%12,20%66,54%
% CDI119,92%237,95%299,28%234,46%173,95%218,35%158,54%61,22%122,11%191,76%188,17%468,15%204,70%138,89%
2018Fundo0,74%0,49%0,71%0,72%1,08%2,37%0,99%0,94%1,12%1,02%0,26%-0,11%10,81%48,43%
% CDI126,16%105,93%134,40%138,96%209,22%457,85%181,94%165,83%238,95%187,50%52,06%-21,94%168,31%122,34%
2017Fundo1,37%0,71%0,79%-0,41%-0,19%0,04%0,62%0,77%0,69%0,66%0,65%0,71%6,58%33,96%
% CDI126,36%82,22%75,09%-52,40%-20,62%5,22%77,84%95,46%107,73%102,46%114,84%131,92%66,29%108,95%
2016Fundo1,72%1,87%1,29%1,01%1,48%2,34%0,96%0,95%0,91%0,85%0,69%1,25%16,43%25,69%
% CDI163,08%186,67%111,29%95,57%133,64%201,43%86,81%77,94%82,58%81,13%66,55%111,73%117,36%132,93%
2015Fundo-------0,11%1,62%2,53%2,19%1,28%7,95%7,95%
% CDI-------67,70%146,41%228,25%207,85%109,98%170,24%170,24%

Índices de Rentabilidade

No MêsNo Ano3 Meses6 Meses12 Meses24 Meses36 Meses48 Meses60 MesesTotal
Rentabilidade0,16%27,81%3,11%4,50%4,50%4,50%48,49%63,15%64,32%242,57%
Volatilidade0,00%0,09%0,11%0,09%0,09%0,09%2,83%5,79%5,98%3,66%
Índice de Sharpe-410,65-3,40-2,181059,481059,481059,488,651,960,801,42

Consistência

FundoMeses PositivosMeses NegativosMaior RetornoMenor Retorno
Bb Br 206 FIF RF RL
96
87,27%
14
12,73%
23,62%-2,17%

Cotistas

Bb Br 206 FIF RF RL

Atual
1

Drawdown

Bb Br 206 FIF RF RL

Atual
0.00%

Patrimônio

Bb Br 206 FIF RF RL

Atual
R$ 6,49 mi

Volatilidade

Bb Br 206 FIF RF RL

Atual
0.18%