Fundos de Investimento
Compare a rentabilidade dos principais fundos de investimento brasileiros com dados oficiais da CVM atualizados diariamente
Compare fundos de investimentos
Metricas de retorno e risco dos principais fundos
Metricas de retorno e risco dos principais fundos
Todas as posições informadas pelo administrador à CVM na competência selecionada. Posições sob sigilo aparecem apenas consolidadas, até o fim do prazo de confidencialidade.Passivos e obrigações: −0,3% do PL, excluídos da composição.12 posições sob sigilo (38,2% do PL) até 29/10/2026.Dados informados pelo administrador à CVM (Composição e Diversificação das Aplicações). Competência mensal; sujeitos a reapresentação.
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| 0,00% | −69,46% | 3ITFGDFI_0.0_7.0_3080 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 7 | 11/09/2049 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_5.0_3147 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 5 | 25/02/2044 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_1.0_3071 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 1 | 18/06/2045 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_2.0_3153 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 2 | 12/07/2046 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_3.0_3043 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 3 | 09/05/2044 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_16.0_3129 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 16 | 14/02/2045 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_1.0_3045 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 1 | 24/09/2043 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_62.9999_3… | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 62,9999 | 01/06/2047 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_2.0_3089 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 2 | 25/08/2043 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_1.0_3058 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 1 | 10/07/2048 |
| 0,00% | −69,46% | 3ITFGDFI_0.00047319890… | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 1119998,1384 | 11/11/2047 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_5.0_3105 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 5 | 23/08/2048 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_1.0_3162 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 1 | 24/07/2043 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_79.9999_3… | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 79,9999 | 05/07/2043 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_3.0_3165 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 3 | 06/08/2048 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_1.0_3139 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 1 | 01/09/2043 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_6.0_3164 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 6 | 04/10/2044 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_2.0_3064 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 2 | 27/10/2047 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_7.0_3102 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 7 | 17/01/2047 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_3.0_3075 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 3 | 14/04/2049 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_1.0_3099 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 1 | 28/08/2047 |
| 0,00% | −69,46% | 3IT450GL_0.0_0.821_3091 | Exterior | Fundos Offshore | 3IT450GL - ITAU 450 GLO LS FUND - KYG497691132 - ITAUBANC - 0,821 | 02/01/2044 |
| 0,00% | −69,46% | 3IT450GL_0.0_0.2737_30… | Exterior | Fundos Offshore | 3IT450GL - ITAU 450 GLO LS FUND - KYG497691132 - ITAUBANC - 0,2737 | 20/04/2046 |
| 0,00% | −69,46% | 3IT450GL_0.0_0.1564_30… | Exterior | Fundos Offshore | 3IT450GL - ITAU 450 GLO LS FUND - KYG497691132 - ITAUBANC - 0,1564 | 24/08/2047 |
| 0,00% | −69,46% | 3IT450GL_0.0_-0.821_30… | Exterior | Fundos Offshore | 3IT450GL - ITAU 450 GLO LS FUND - KYG497691132 - ITAUBANC - 0,821 | 02/09/2043 |
| 0,00% | −69,46% | 3IT450GL_0.0_-0.0782_3… | Exterior | Fundos Offshore | 3IT450GL - ITAU 450 GLO LS FUND - KYG497691132 - ITAUBANC - 0,0782 | 31/12/2045 |
| 0,00% | −69,46% | 3IT450GL_0.0_0.6255_31… | Exterior | Fundos Offshore | 3IT450GL - ITAU 450 GLO LS FUND - KYG497691132 - ITAUBANC - 0,6255 | 27/02/2047 |
| 0,00% | −69,46% | 3IT450GL_0.0_0.5473_30… | Exterior | Fundos Offshore | 3IT450GL - ITAU 450 GLO LS FUND - KYG497691132 - ITAUBANC - 0,5473 | 24/12/2045 |
| 0,00% | −69,46% | 3IT450GL_0.0_12.3934_3… | Exterior | Fundos Offshore | 3IT450GL - ITAU 450 GLO LS FUND - KYG497691132 - ITAUBANC - 12,3934 | 07/05/2049 |
| 0,00% | −69,46% | 3ITFGDFI_9.48315161518… | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 1529997,4569 | 05/11/2047 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_5.0_3138 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 5 | 28/05/2050 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_10.0_3096 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 10 | 27/11/2048 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_7.0_3157 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 7 | 30/06/2047 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_3.0_3123 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 3 | 04/01/2046 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_1.0_3101 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 1 | 27/10/2045 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_6.0_3083 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 6 | 15/04/2049 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_17.0_3108 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 17 | 11/10/2048 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_-5.0_3103 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 5 | 15/12/2044 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_-9.0_3078 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 9 | 05/08/2046 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_-3.0_3135 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 3 | 18/04/2044 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_-13.0_3124 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 13 | 28/05/2049 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_-52.9999_… | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 52,9999 | 25/07/2043 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_-2.0_3070 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 2 | 17/07/2046 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_1.0_3041 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 1 | 01/04/2050 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_-5.0_3081 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 5 | 23/07/2048 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_-2.0_3050 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 2 | 14/06/2044 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_-9.0_3100 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 9 | 10/07/2046 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_-42.9999_… | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 42,9999 | 08/08/2046 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_-2.0_3040 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 2 | 23/10/2046 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_-6.0_3039 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 6 | 17/02/2049 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_-2.0_3125 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 2 | 09/06/2045 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_-10.0_3097 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 10 | 10/10/2044 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_-6.0_3170 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 6 | 07/02/2048 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_-3.0_3104 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 3 | 20/01/2050 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_-24.0_3169 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 24 | 10/07/2050 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_-6.0_3082 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 6 | 20/04/2044 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_-27.0_3067 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 27 | 10/03/2050 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_-2.0_3146 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 2 | 11/05/2049 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_-10.0_3159 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 10 | 28/04/2046 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_-12.0_3073 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 12 | 04/09/2050 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_-2.0_3054 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 2 | 28/06/2049 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_-9.0_3079 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 9 | 07/12/2049 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_-3.0_3158 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 3 | 17/03/2045 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_-18.0_3094 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 18 | 16/09/2049 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_-6.0_3092 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 6 | 16/12/2049 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_-3.0_3068 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 3 | 27/07/2045 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_-2.0_3179 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 2 | 09/04/2049 |
| 0,00% | −69,46% | 3ITFGDFI_0.0_-10.0_3163 | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 10 | 28/08/2046 |
| 0,00% | −69,46% | 3ITFGDFI_-9.4831516151… | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 1529997,4569 | 02/02/2044 |
| 0,00% | −69,46% | 3ITFGDFI_-1.0754520539… | Exterior | Fundos Offshore | 3ITFGDFI - G DYNAMIC FIX SEGREG - KYG497692460 - ITAU - 1119998,1384 | 26/07/2047 |
| 0,00% | −69,46% | 3ITARTF_0.0_39289.6238… | Exterior | Fundos Offshore | 3ITARTF - IT ARTAX FIXED INCOM - KYG497693526 - ITAU - 39289,6238 | 24/01/2044 |
| 0,00% | −69,46% | 3ITGOPFA_0.0_6.1888_31… | Exterior | Fundos Offshore | 3ITGOPFA - IT GI F SPC OPT FIXE - KYG497692387 - ITAU - 6,1888 | 09/03/2045 |
| 0,00% | −69,46% | 3ITGOPFA_0.0_0.6382_31… | Exterior | Fundos Offshore | 3ITGOPFA - IT GI F SPC OPT FIXE - KYG497692387 - ITAU - 0,6382 | 25/02/2046 |
| 0,00% | −69,46% | 3ITGOPFA_0.0_-0.5962_3… | Exterior | Fundos Offshore | 3ITGOPFA - IT GI F SPC OPT FIXE - KYG497692387 - ITAU - 0,5962 | 28/05/2046 |
| 0,00% | −69,46% | 3ITGOPFA_0.0_5.9788_31… | Exterior | Fundos Offshore | 3ITGOPFA - IT GI F SPC OPT FIXE - KYG497692387 - ITAU - 5,9788 | 06/04/2046 |
| 0,00% | −69,46% | 3ITGOPFA_0.0_0.1763_30… | Exterior | Fundos Offshore | 3ITGOPFA - IT GI F SPC OPT FIXE - KYG497692387 - ITAU - 0,1763 | 11/11/2048 |
| 0,00% | −69,46% | 3ITGOPFA_0.0_6.1804_31… | Exterior | Fundos Offshore | 3ITGOPFA - IT GI F SPC OPT FIXE - KYG497692387 - ITAU - 6,1804 | 14/01/2048 |
| 0,00% | −69,46% | 3ITGOPFA_0.0_0.2687_30… | Exterior | Fundos Offshore | 3ITGOPFA - IT GI F SPC OPT FIXE - KYG497692387 - ITAU - 0,2687 | 20/12/2050 |
| 0,00% | −69,46% | 3ITGOPFA_0.0_32.0775_3… | Exterior | Fundos Offshore | 3ITGOPFA - IT GI F SPC OPT FIXE - KYG497692387 - ITAU - 32,0775 | 21/12/2043 |
| 0,00% | −69,46% | 3ITGOPFA_0.0_-0.5962_3… | Exterior | Fundos Offshore | 3ITGOPFA - IT GI F SPC OPT FIXE - KYG497692387 - ITAU - 0,5962 | 14/08/2044 |
| 0,00% | −69,46% | 3ITGOPFA_0.0_-0.3359_3… | Exterior | Fundos Offshore | 3ITGOPFA - IT GI F SPC OPT FIXE - KYG497692387 - ITAU - 0,3359 | 03/04/2048 |
| 0,00% | −69,46% | 3ITGOPFA_0.0_-0.3611_3… | Exterior | Fundos Offshore | 3ITGOPFA - IT GI F SPC OPT FIXE - KYG497692387 - ITAU - 0,3611 | 07/10/2046 |
| 0,00% | −69,46% | 3ITGOPFA_0.00027358909… | Exterior | Fundos Offshore | 3ITGOPFA - IT GI F SPC OPT FIXE - KYG497692387 - ITAU - 0,0084 | 26/03/2046 |
| 0,00% | −69,46% | 3ITGOPFA_0.0_22.7314_3… | Exterior | Fundos Offshore | 3ITGOPFA - IT GI F SPC OPT FIXE - KYG497692387 - ITAU - 22,7314 | 03/09/2043 |
| 0,00% | −69,46% | 3ITGOPFA_0.0_-0.5962_3… | Exterior | Fundos Offshore | 3ITGOPFA - IT GI F SPC OPT FIXE - KYG497692387 - ITAU - 0,5962 | 29/06/2049 |
| 0,00% | −69,46% | 3ITGOPFA_0.0_-0.4031_3… | Exterior | Fundos Offshore | 3ITGOPFA - IT GI F SPC OPT FIXE - KYG497692387 - ITAU - 0,4031 | 13/09/2050 |
| 0,00% | −69,46% | 3ITGOPFA_0.0_-0.5626_3… | Exterior | Fundos Offshore | 3ITGOPFA - IT GI F SPC OPT FIXE - KYG497692387 - ITAU - 0,5626 | 15/03/2044 |
| 0,00% | −69,46% | 3ITGOPFA_0.0_-0.5374_3… | Exterior | Fundos Offshore | 3ITGOPFA - IT GI F SPC OPT FIXE - KYG497692387 - ITAU - 0,5374 | 11/11/2043 |
| 0,00% | −69,46% | 3ITGOPFA_0.0_0.1763_30… | Exterior | Fundos Offshore | 3ITGOPFA - IT GI F SPC OPT FIXE - KYG497692387 - ITAU - 0,1763 | 18/08/2045 |
| 0,00% | −69,46% | 3ITGOPFA_-0.0002369635… | Exterior | Fundos Offshore | 3ITGOPFA - IT GI F SPC OPT FIXE - KYG497692387 - ITAU - 0,0041 | 22/07/2044 |
| 0,00% | −69,46% | 3ITGOPFA_-0.0001948384… | Exterior | Fundos Offshore | 3ITGOPFA - IT GI F SPC OPT FIXE - KYG497692387 - ITAU - 0,0037 | 27/08/2045 |
| 0,00% | −69,46% | 3ITGOPFA_0.0_48.6705_3… | Exterior | Fundos Offshore | 3ITGOPFA - IT GI F SPC OPT FIXE - KYG497692387 - ITAU - 48,6705 | 28/05/2048 |
| 0,00% | −69,46% | 3ITGOPFA_0.0_-0.6046_3… | Exterior | Fundos Offshore | 3ITGOPFA - IT GI F SPC OPT FIXE - KYG497692387 - ITAU - 0,6046 | 25/10/2048 |
| 0,00% | −69,46% | 3ITGOPFA_0.0_5.8109_31… | Exterior | Fundos Offshore | 3ITGOPFA - IT GI F SPC OPT FIXE - KYG497692387 - ITAU - 5,8109 | 30/12/2048 |
| 0,00% | −69,46% | 3ITGOPFA_0.0_0.0084_30… | Exterior | Fundos Offshore | 3ITGOPFA - IT GI F SPC OPT FIXE - KYG497692387 - ITAU - 0,0084 | 29/03/2047 |
| 0,00% | −69,46% | 3ITGOPFA_0.0_-0.1008_3… | Exterior | Fundos Offshore | 3ITGOPFA - IT GI F SPC OPT FIXE - KYG497692387 - ITAU - 0,1008 | 02/06/2044 |
| 0,00% | −69,46% | 3ITGOPFA_0.00015633337… | Exterior | Fundos Offshore | 3ITGOPFA - IT GI F SPC OPT FIXE - KYG497692387 - ITAU - 0,003 | 18/05/2045 |
| 0,00% | −69,46% | 3ITGOPFA_0.0_68.085_30… | Exterior | Fundos Offshore | 3ITGOPFA - IT GI F SPC OPT FIXE - KYG497692387 - ITAU - 68,085 | 22/09/2043 |
| 0,00% | −69,46% | 3ITGOPFA_0.0_14.6952_3… | Exterior | Fundos Offshore | 3ITGOPFA - IT GI F SPC OPT FIXE - KYG497692387 - ITAU - 14,6952 | 26/05/2049 |
| Zeradas desde jun/2026 · 7 posições | ||||||
|---|---|---|---|---|---|---|
| 0,00% | −0,33% | Posições sob sigilo — Outras aplicaçõesZerado | Sob sigilo | — | — | — |
| 0,00% | −0,22% | OBRIG. POR COMPRA A TE…Zerado | Derivativos | Outros | — | — |
| 0,00% | −0,22% | COMPRA A TERMO A RECEB…Zerado | Derivativos | Outros | MF SECRETARIA DO TESOURO NACIONAL | — |
| 0,00% | −0,08% | LIGT13 - LIGHT S/A - L…Zerado | Crédito privado | Bônus de subscrição | LIGHT S.A. - EM RECUPERAÇÃO JUDICIAL | — |
| 0,00% | −0,05% | VENDA A TERMO A RECEBE…Zerado | Derivativos | Outros | MF SECRETARIA DO TESOURO NACIONAL | — |
| 0,00% | −0,04% | LIGT9 - LIGHT S/A - LI…Zerado | Crédito privado | Recibo de subscrição | LIGHT S.A. - EM RECUPERAÇÃO JUDICIAL | — |
| 0,00% | 0,00% | ISHARES BM&FBOVESPA SM…Zerado | Fundos | Fundos de Índice | — | — |
| R$ 404.123.863,64Patrimônio líquido |
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