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.Derivativos: posições vendidas −0,3% do PL (exposição, não entram na barra de composição).Passivos e obrigações: −54,0% do PL, excluídos da composição.Dados informados pelo administrador à CVM (Composição e Diversificação das Aplicações). Competência mensal; sujeitos a reapresentação.
| — |
| 0,00% | −142,02% | RBLX US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 0 | 09/11/2050 |
| 0,00% | 0,00% | ITAÚ CUSTÓDIA RENDA FI… | Fundos | Fundo de Investimento e de Cotas | — | — |
| 0,01% | +0,01% | BRSTNCNTF204Nova | Caixa e outros | Título público federal | SECRETARIA TESOURO NACIONAL | 01/01/2031 |
| 0,02% | −142,00% | INTERESTS PROVISION | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 0 | 20/11/2050 |
| 0,02% | −142,00% | DIVIDENDS | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 0 | 19/10/2050 |
| 0,04% | −141,98% | EXPENSES | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 0 | 28/10/2050 |
| 0,05% | −0,36% | VALORES A RECEBER | Caixa e outros | Outros | — | — |
| 0,10% | −0,01% | DISPONIBILIDADES | Caixa e outros | Outros | — | — |
| 0,27% | −141,75% | EDN US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 320,860722 | 21/12/2050 |
| 0,39% | −141,63% | WIX US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 165,725831 | 24/10/2050 |
| 0,40% | −141,62% | QQQ US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 23,56857 | 28/11/2050 |
| 0,46% | −141,56% | PICS US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 934,091047 | 07/11/2050 |
| 0,47% | −141,55% | XP US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 887,401412 | 03/12/2050 |
| 0,53% | −141,49% | SHOP US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 147,676483 | 29/10/2050 |
| 0,55% | −141,47% | STNE US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 1245,106671 | 24/11/2050 |
| 0,55% | −141,47% | PAGS US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 1789,71964 | 22/10/2050 |
| 0,64% | −141,38% | COST US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 25,20942 | 05/12/2050 |
| 0,67% | −141,35% | DDOG US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 191,979428 | 19/11/2050 |
| 0,70% | −141,32% | BHP US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 377,842961 | 08/12/2050 |
| 0,78% | −141,24% | TSLA US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 66,529001 | 15/11/2050 |
| 0,85% | −141,17% | ABNB US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 241,801595 | 25/10/2050 |
| 0,88% | −141,14% | CART US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 873,230436 | 25/11/2050 |
| 0,90% | −141,12% | CRWD US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 75,329923 | 23/10/2050 |
| 0,93% | −141,09% | TTWO US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 155,433228 | 16/12/2050 |
| 0,94% | −141,08% | SPOT US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 68,915692 | 12/11/2050 |
| 0,95% | −141,07% | AMD US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 147,07981 | 02/11/2050 |
| 0,95% | −141,07% | SNOW US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 181,686825 | 27/11/2050 |
| 0,95% | −141,07% | CNK US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 1483,775734 | 22/12/2050 |
| 0,95% | −141,07% | ETSY US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 663,499997 | 21/10/2050 |
| 0,96% | −141,06% | ZM US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 385,898042 | 07/12/2050 |
| 0,97% | −141,05% | W US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 345,920974 | 13/10/2050 |
| 0,99% | −141,03% | MSTR US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 243,293277 | 12/12/2050 |
| 1,03% | −140,99% | APP US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 80,252473 | 10/12/2050 |
| 1,09% | −140,93% | AVGO US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 121,721222 | 17/12/2050 |
| 1,15% | −140,87% | SFD US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 1778,681196 | 16/10/2050 |
| 1,21% | −140,81% | OKTA US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 527,756967 | 29/11/2050 |
| 1,32% | −140,70% | DIS US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 431,692669 | 15/10/2050 |
| 1,40% | −140,62% | FOXA US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 708,996287 | 30/11/2050 |
| 1,48% | −140,54% | SCCO US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 286,253708 | 17/11/2050 |
| 1,48% | −140,54% | AMAT US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 169,156699 | 13/12/2050 |
| 1,48% | −140,54% | RIO US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 599,506854 | 10/11/2050 |
| 1,56% | −140,46% | ADBE US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 195,708632 | 11/11/2050 |
| 1,56% | −140,46% | DELL US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 501,50337 | 19/12/2050 |
| 1,60% | −140,42% | AUGO US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 926,632639 | 18/11/2050 |
| 1,73% | −140,29% | CRM US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 299,828011 | 06/12/2050 |
| 1,74% | −140,28% | GDX US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 681,400176 | 16/11/2050 |
| 1,80% | −140,22% | TSN US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 1017,326883 | 13/11/2050 |
| 1,90% | −140,12% | EBAY US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 766,42603 | 09/12/2050 |
| 1,96% | −140,06% | MU US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 173,780912 | 04/12/2050 |
| 1,98% | −140,04% | PANW US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 412,599144 | 18/10/2050 |
| 2,05% | −139,97% | META US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 105,163556 | 14/12/2050 |
| 2,06% | −139,96% | DASH US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 371,727066 | 11/12/2050 |
| 2,11% | −139,91% | ZS US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 387,837228 | 17/10/2050 |
| 2,32% | −139,70% | NOW US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 728,984821 | 01/12/2050 |
| 2,57% | −139,45% | ORCL US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 575,789116 | 04/11/2050 |
| 2,58% | −139,44% | JBS US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 6031,913077 | 15/12/2050 |
| 2,65% | −139,37% | IGV US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 1083,110044 | 18/12/2050 |
| 2,79% | −139,23% | TSM US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 310,568119 | 05/11/2050 |
| 2,82% | −139,20% | PPC US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 2392,80653 | 31/10/2050 |
| 2,82% | −139,20% | YPF US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 2611,039555 | 01/11/2050 |
| 2,86% | −139,16% | MSFT US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 245,083295 | 06/11/2050 |
| 2,97% | −139,05% | PINS US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 4947,908024 | 23/11/2050 |
| 3,27% | −138,75% | MELI US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 56,08723 | 27/10/2050 |
| 3,28% | −138,74% | AAPL US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 466,001347 | 20/10/2050 |
| 3,38% | −138,64% | WMT US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 1046,265507 | 14/11/2050 |
| 3,59% | −138,43% | LRCX US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 567,137362 | 22/11/2050 |
| 3,68% | −138,34% | GGAL US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 2462,766399 | 08/11/2050 |
| 3,81% | −138,21% | GOOG US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 414,985834 | 26/10/2050 |
| 4,11% | −137,91% | SOXX US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 437,062723 | 26/11/2050 |
| 4,23% | −137,79% | ERO US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 4645,84249 | 30/10/2050 |
| 4,50% | −137,52% | AMZN US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 693,33363 | 14/10/2050 |
| 4,74% | −20,58% | ISHARES IBOVESPA CLASS… | Fundos | Fundos de Índice | — | — |
| 4,96% | −137,06% | PAYABLE/RECEIVABLE | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 0 | 23/12/2050 |
| 5,30% | −136,72% | XLE US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 3825,119248 | 03/11/2050 |
| 6,00% | −136,02% | NVDA US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 1156,799117 | 20/12/2050 |
| 9,03% | +9,03% | BRSTNCNTB4U6Nova | Caixa e outros | Título público federal | SECRETARIA TESOURO NACIONAL | 15/08/2026 |
| 9,49% | −132,53% | SPY US EQUITY | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 505,53091 | 21/11/2050 |
| 18,86% | 0,00% | BRSTNCLF1RG5 | Títulos públicos | Título público federal | SECRETARIA TESOURO NACIONAL | 01/03/2027 |
| 18,87% | 0,00% | BRSTNCLF1RE0 | Títulos públicos | Título público federal | SECRETARIA TESOURO NACIONAL | 01/03/2026 |
| 20,22% | −121,80% | MONEY MARKETS | Exterior | Fundos Offshore | 3EHSEPOR - EH SEGREG PORTFOLIO - US3EHS000013 - BTGP - 0 | 02/12/2050 |
| 28,28% | +0,01% | BRSTNCLF1RI1 | Títulos públicos | Título público federal | SECRETARIA TESOURO NACIONAL | 01/03/2028 |
| 49,10% | +26,12% | BOVA11 - ISHARES BOVA… | Renda variável | Fundos de Índice | ISHARES IBOVESPA CLASSE DE ÍNDICE - RESPONSABILIDADE LIMITADA | — |
| Zeradas desde dez/2025 · 2 posições | ||||||
|---|---|---|---|---|---|---|
| 0,00% | −7,43% | BRSTNCNTB4X0Zerado | Caixa e outros | Título público federal | SECRETARIA TESOURO NACIONAL | 15/08/2028 |
| 0,00% | −0,01% | BRSTNCLTN8I0Zerado | Caixa e outros | Título público federal | SECRETARIA TESOURO NACIONAL | 01/04/2027 |
| R$ 19.393.993,78Patrimônio líquido |
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