Administrador: Bb
Gestor: Bb
Cotistas
479
Patrimônio Líquido
R$ 25,19 mi
Categoria CVM
Categoria ANBIMA
Renda Fixa Invest. no Exterior
Benchmark
Primeira cota
20/05/2019
Composição do fundo
Tipo de Investidor
Rentabilidade 12M
-9.96%
Índice de Sharpe 12M
-2.30
PL Médio 12M
R$ 38,25 mi
RCVM 175
26/05/2025
BB RF LONGO PRAZO BONDS GLOBAIS FX PRIVATE CRED PRIV INVESTIMENTO NO EXTERIOR FIC FIF RESP LIMITAD
Índice HHI
0.9145
Top 10
+100.00%
Maior posição
+95.60%
Posições
12
| DETALHES | VALOR | % CLASSE | % FUNDO |
|---|---|---|---|
Cotas de Fundos | R$ 26,81 mi | 100% | 95.60% |
Valores a pagar | R$ 620.036,25 | 100% | 2.21% |
Disponibilidades | R$ 461.005,63 | 100% | 1.64% |
Valores a receber | R$ 153.437,03 | 100% | 0.55% |
1750 dias de cotação
| Ano | Jan | Fev | Mar | Abr | Mai | Jun | Jul | Ago | Set | Out | Nov | Dez | No ano | Acumulado | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 2026 | Fundo | -3,81% | -1,78% | -0,65% | -3,69% | -0,57% | - | - | - | - | - | - | - | -10,11% | 51,10% |
| % CDI | -327,18% | -178,09% | -53,79% | -338,08% | -356,63% | - | - | - | - | - | - | - | -214,81% | 58,51% | |
| 2025 | Fundo | -4,54% | 1,97% | -2,97% | 0,04% | 0,89% | -3,98% | 2,30% | -1,74% | -1,23% | 1,75% | -0,58% | 3,45% | -4,89% | 68,09% |
| % CDI | -448,33% | 199,97% | -307,83% | 3,98% | 78,00% | -362,46% | 180,02% | -149,36% | -100,60% | 137,27% | -54,97% | 283,10% | -34,11% | 86,28% | |
| 2024 | Fundo | 1,34% | 0,51% | 1,38% | 2,10% | 1,57% | 7,52% | 1,93% | 1,40% | -2,36% | 4,34% | 4,07% | 2,26% | 29,02% | 76,72% |
| % CDI | 138,93% | 63,20% | 165,79% | 237,11% | 188,24% | 954,39% | 213,25% | 161,26% | -282,17% | 467,26% | 512,82% | 242,21% | 266,85% | 135,80% | |
| 2023 | Fundo | -1,47% | 1,24% | -2,31% | -1,25% | 1,21% | -4,98% | -0,66% | 3,75% | -0,57% | -1,00% | 2,19% | 1,36% | -2,75% | 36,97% |
| % CDI | -130,80% | 135,41% | -196,39% | -135,64% | 107,49% | -464,71% | -61,95% | 329,39% | -58,64% | -100,54% | 239,18% | 152,50% | -21,08% | 89,85% | |
| 2022 | Fundo | -4,88% | -3,40% | -7,02% | 2,45% | -3,58% | 7,09% | 0,32% | 0,62% | 1,26% | -3,72% | 2,33% | 1,64% | -7,48% | 40,84% |
| % CDI | -666,20% | -450,26% | -757,74% | 293,32% | -345,88% | 698,60% | 31,36% | 53,31% | 117,64% | -364,49% | 228,71% | 145,73% | -60,40% | 164,27% | |
| 2021 | Fundo | 4,59% | 2,17% | 0,54% | -3,08% | -3,29% | -4,13% | 3,71% | -0,42% | 4,80% | 2,35% | -0,48% | -0,47% | 5,93% | 52,24% |
| % CDI | 3.073,30% | 1.613,11% | 269,11% | -1.482,77% | -1.216,75% | -1.340,31% | 1.042,21% | -98,18% | 1.085,33% | 483,61% | -82,42% | -61,17% | 134,09% | 470,69% | |
| 2020 | Fundo | 6,76% | 4,89% | 10,48% | 7,70% | 0,51% | 1,95% | -2,48% | 5,59% | 2,09% | 1,95% | -3,91% | -2,02% | 37,76% | 43,71% |
| % CDI | 1.795,86% | 1.664,44% | 3.096,89% | 2.701,18% | 217,24% | 917,28% | -1.274,35% | 3.495,82% | 1.328,90% | 1.240,60% | -2.615,66% | -1.225,93% | 1.369,33% | 683,91% | |
| 2019 | Fundo | - | - | - | - | 0,00% | -1,46% | -0,31% | 7,46% | 0,60% | -2,55% | 4,69% | -3,72% | 4,32% | 4,32% |
| % CDI | - | - | - | - | 0,00% | -310,77% | -54,94% | 1.486,48% | 129,96% | -532,66% | 1.233,56% | -991,56% | 122,10% | 122,10% |
| No Mês | No Ano | 3 Meses | 6 Meses | 12 Meses | 24 Meses | 36 Meses | 48 Meses | 60 Meses | Total | |
|---|---|---|---|---|---|---|---|---|---|---|
| Rentabilidade | -0,57% | -10,11% | -5,89% | -7,02% | -9,96% | 6,50% | 10,81% | 10,54% | 3,57% | Infinity% |
| Volatilidade | 12,50% | 11,13% | 12,00% | 11,65% | 10,73% | 11,63% | 11,45% | 12,86% | 13,21% | 388,94% |
| Índice de Sharpe | -4,21 | -3,55 | -3,30 | -2,50 | -2,30 | -0,86 | -0,79 | -0,80 | -0,86 | Infinity |
| Fundo | Meses Positivos | Meses Negativos | Maior Retorno | Menor Retorno |
|---|---|---|---|---|
| Bb RF LP Bonds Globais Fx Private Cred Priv IE FIC FIF Resp Limitad | 47 55,29% | 38 44,71% | 10,48% | -7,02% |
Bb RF LP Bonds Globais Fx Private Cred Priv IE FIC FIF Resp Limitad
Bb RF LP Bonds Globais Fx Private Cred Priv IE FIC FIF Resp Limitad
Bb RF LP Bonds Globais Fx Private Cred Priv IE FIC FIF Resp Limitad
Bb RF LP Bonds Globais Fx Private Cred Priv IE FIC FIF Resp Limitad