JGP

A JGP é uma tradicional gestora de recursos e de patrimônio brasileira com escritórios no Rio de Janeiro e em São Paulo. Nosso compromisso de longo prazo é aliar retornos consistentes com o gerenciamento de risco ativo, visando preservar o capital investido por nossos investidores.

Asset Management

Multi-strategy

Composite track record of no negative years over 24 years

Multi-strategy funds that seek absolute returns with a strong bias toward capital preservation. Our main goal is to provide superior risk-adjusted returns over the long-term, with low correlation to broader markets and regardless of market conditions.

Multi-manager style: our team includes portfolio managers with different and complementary professional skills, who divide among themselves the total risk of our funds, employing an opportunistic style, dynamically allocating capital to liquid investments with the best risk-reward profile in the fixed income, equities, foreign exchange, credit and commodities markets and their derivatives.

Our Advantages

Unlike the traditional management model, where the fund depends on the assertiveness of a main manager, JGP’s multi-manager model distributes decision-making power among several professionals.

Our multi-strategy portfolio managers divide among themselves the total risk of our funds. This division is based on each manager’s seniority and individual track record, with senior managers usually concentrating a significant portion of the overall risk. Our investment philosophy is to deliver consistent returns while aiming at capital preservation.

Investment
Funds

Os fundos possuem a mesma equipe e as mesmas posições, se diferenciando pelo grau de risco alocado, tamanho de posições e liquidez dos resgates.

Fundo – Multimercado

About the fund

JGP Hedge Fund is a multi-strategy fund domiciled in Brazil and seeks capital appreciation in Brazilian Reais. The Fund is primarily dedicated to Brazilian securities but can trade international markets. The Fund strives for a superior, risk-adjusted return, in absolute terms, over the long-term with low correlation to broader markets. The Investment Team achieves this objective by trading, both long and short, in a wide range of securities (in the fixed income, equities, foreign exchange, credit and commodities markets and their derivatives) while adhering to strict risk-control techniques.

Objective

Absolute returns. Outperforming the benchmark (CDI) in the long term.

Target Public

Investors in General (Brazilian investors only)

Anbima Category

Multimercado Multiestratégia

ANBIMA Code

73652

Start date:
01/07/1999

Administration fee:
1.50% a.a.

Performance Fee:
20.00%

Benchmark:
CDI

Performance

Subscriptions

Daily, at the closing NAV per share calculated as of the date the proceeds are made available to the fund

Redemptions

Redemptions shall be effected on the first business day after the applicable Conversion Date. The Conversion Date with respect to each redemption request shall occur on the same day after the applicable redemption request has been received by the Administrator.

Time Limit for Subscriptions/Redemptions

Until 2PM (Brasilia Time)

Transaction Limits

Initial Application: R$ 50.000,00
Subsequent Transactions: R$ 10.000,00
Initial Application via plataforms: R$ 10.000,00

Initial via investment platforms: R$ 1.000,00

Administration Fee

Total of 1.50% p.a., being 1.35% administration fee of JGP Hedge FIC FIM in addition to 0.15% of JGP Hedge Master FIM, applied daily and paid monthly.

This fee may be increased by the Management Fee paid to other investment funds in which this Fund invests, reaching a maximum of 2.00% p.a.

Performance Fee

20% of what exceeds the CDI Index. High-Water Mark. Paid annually or upon redemption, whichever comes first.

Tax Classification

Long-Term (Income Tax Regressive Table)

IOF (Financial Transaction Tax)

Incident on applications redeemed (quoted) before the 30th day

Risk Profile:

Aggressive

Manager

JGP Gestão de Recursos Ltda.

Administrator

BNY Mellon Serviços Financeiros DTVM S.A.

Broker-Dealer

JGP Gestão de Recursos Ltda.

Custodiante

Banco BNY Mellon S.A.

Auditor

Deloitte Touche Tohmatsu Auditores Independentes

Foreign Investments

Up to 20% of the fund’s Net Equity.

Bank Details

Account Holder: JGP HEDGE FUNDO DE INVESTIMENTO EM COTAS DE FUNDOS DE INVESTIMENTO MULTIMERCADO
Brazilian National Registry of Legal Entities Number (CNPJ): 03.119.883/0001-41
Bank Name: Banco Mellon – 17
Branch Number: 1
Account Number: 2311-6

 

Informações Complementares

Download here

Relatório Comercial

Download here

Regulamento

Download here

About the fund

JGP Max Fund is a multi-strategy fund domiciled in Brazil and seeks capital appreciation in Brazilian Reais. The Fund is primarily dedicated to Brazilian securities but can trade international markets. The Fund strives for a superior, risk-adjusted return, in absolute terms, over the long-term with low correlation to broader markets. The Investment Team achieves this objective by trading, both long and short, in a wide range of securities (in the fixed income, equities, foreign exchange, credit and commodities markets and their derivatives) while adhering to strict risk-control techniques.

Objective

Absolute returns. Outperforming the benchmark (CDI) in the long term.

Target Audience

Investors in General (Brazilian investors only)

ANBIMA Classification

Multimercado Multiestratégia

ANBIMA Code

191663

Start date:
01/08/2007

Administration fee:
2.00% a.a.

Performance Fee:
20.00%

Benchmark:
CDI

Performance

Subscriptions

Daily, at the closing NAV per share calculated as of the date the proceeds are made available to the fund

Redemptions

Redemptions shall be effected on the first business day after the applicable conversion date. The conversion date in respect of each redemption request shall occur on the 15th day after the applicable redemption request has been received by the administrator

In cases where expressly requested by the investor, the conversion date shall occur on the 5th day after the applicable redemption request has been received by the Administrator, subject to the payment by the investor of a redemption fee equal to 5% of the redemption proceeds

Time Limit for Subscriptions/Redemptions:

Until 2PM (Brasilia Time)

Transaction Limits

Initial Application: R$ 100.000,00
Subsequent Transactions: R$ 50.000,00
Minimum Balance: R$ 100.000,00

Initial Application via plataforms: R$ 10.000,00

Administration Fee

Total of 2.00% p.a., being 1.85% administration fee of JGP Max FIC FIM in addition to 0.15% of JGP Max Master FIM, applied daily and paid monthly. This fee may be increased by the administration fee paid to investment funds in which the Fund invests and may reach a maximum of 2.5% p.a.

This fee may be increased by the Management Fee paid to other investment funds in which this Fund invests, reaching a maximum of 2.50% p.a.

Performance Fee

20% of what exceeds the CDI Index. High-Water Mark. Paid annually or upon redemption, whichever comes first.

Taxation

Long-Term (Income Tax Regressive Table)

IOF (Financial Transaction Tax)

Incident on applications redeemed (quoted) before the 30th day

Risk Profile

Aggressive

Manager

JGP Gestão de Recursos Ltda.

Administrator

BNY Mellon Serviços Financeiros DTVM S/A

Broker-Dealer

JGP Gestão de Recursos Ltda.

Custodian

Banco BNY Mellon S.A.

Auditor

Deloitte Touche Tohmatsu Auditores Independentes

Foreign Investments

Up to 20% of the fund’s Net Equity

Bank Details

Account Holder: JGP MAX FUNDO DE INVESTIMENTO EM COTAS DE FUNDOS DE INVESTIMENTO MULTIMERCADO
Brazilian National Registry of Legal Entities Number (CNPJ): 08.912.591/0001-85
Bank Name: Banco Mellon – 17
Branch Number: 1
Account Number: 2314-0

 

Informações Complementares

Download here

Relatório Comercial

Download here

Regulamento

Download here

About the fund

JGP Strategy fund is a multi-strategy fund domiciled in Brazil and seeks capital appreciation in Brazilian Reais. The Fund is primarily dedicated to Brazilian securities but can trade international markets. The Fund strives for a superior, risk-adjusted return, in absolute terms, over the long-term with low correlation to broader markets. The Investment Team achieves this objective by trading, both long and short, in a wide range of securities (in the fixed income, equities, foreign exchange, credit and commodities markets and their derivatives) while adhering to strict risk-control techniques.

Objective 

Absolute returns. Outperforming the benchmark (CDI) in the long term.

Target Public

Investors in General (Brazilian investors only)

Anbima Category

Multimercado Multiestratégia

ANBIMA Code

285560

Start date:
31/08/2011

Administration fee:
2.00% a.a.

Performance Fee:
20.00%

Benchmark:
CDI

Performance

Subscriptions

Daily, at the closing NAV per share calculated as of the date the proceeds are made available to the fund

Redemptions

Redemptions shall be effected on the first business day after the applicable conversion date. The conversion date in respect of each redemption request shall occur on the 30th day after the applicable redemption request has been received by the administrator

In cases where expressly requested by the investor, the conversion date shall occur on the 5th day after the applicable redemption request has been received by the Administrator, subject to the payment by the investor of a redemption fee equal to 5% of the redemption proceeds.

Time Limit for Subscriptions/Redemptions

Until 2PM (Brasilia Time)

Transaction Limits

Initial Application: R$ 100.000,00
Subsequent Transactions: R$ 50.000,00
Minimum Balance: R$ 100.000,00

Initial Application via plataforms: R$ 1.000,00

Administration Fee

Total of 2.00% p.a., being 1.85% administration fee of JGP Strategy FIC FIM in addition to 0.15% of JGP Strategy Master FIM, applied daily and paid monthly. This fee may be increased by the administration fee paid to investment funds in which the Fund invests and may reach a maximum of 2.5% p.a.

This fee may be increased by the Management Fee paid to other investment funds in which this Fund invests, reaching a maximum of 2.50% p.a.

Performance Fee

20% of what exceeds the CDI Index. High-Water Mark. Paid annually or upon redemption, whichever comes first.

 

Tax Classification

Long-Term (Income Tax Regressive Table)

IOF (Financial Transaction Tax)

Incident on applications redeemed (quoted) before the 30th day

Risk Profile

Aggressive

Manager

JGP Gestão de Recursos Ltda.

Administrator

BNY Mellon Serviços Financeiros DTVM S/A.

Broker-Dealer

JGP Gestão de Recursos Ltda.

Custodiante

BNY Mellon Banco S.A.

Auditor

KPMG Auditores Independentes

Foreign Investments

Up to 20% of the fund’s Net Equity.

Bank Details

Account Holder: JGP STRATEGY FUNDO DE INVESTIMENTO EM COTAS DE FUNDOS DE INVESTIMENTO MULTIMERCADO
Brazilian National Registry of Legal Entities Number (CNPJ): 13.812.165/0001-00
Bank Name: Banco Mellon – 17
Branch Number: 1
Account Number: 2162-8

Informações Complementares

Download here

Relatório Comercial

Download here

Regulamento

Download here

About the fund

JGP Hedge Fund is a multi-strategy fund domiciled in Brazil and seeks capital appreciation in Brazilian Reais. The Fund is primarily dedicated to Brazilian securities but can trade international markets. The Fund strives for a superior, risk-adjusted return, in absolute terms, over the long-term with low correlation to broader markets. The Investment Team achieves this objective by trading, both long and short, in a wide range of securities (in the fixed income, equities, foreign exchange, credit and commodities markets and their derivatives) while adhering to strict risk-control techniques.

Objective

Absolute returns. Outperforming the benchmark (CDI) in the long term.

Target Public

Investors in General (Brazilian investors only)

Anbima Category

Multimercado Multiestratégia

ANBIMA Code

73652

Start date
01/07/1999

Administration fee:
1.50% a.a.

Performance Fee:
20.00%

Benchmark:
CDI

Performance

Subscriptions

Daily, at the closing NAV per share calculated as of the date the proceeds are made available to the fund

Redemptions

Redemptions shall be effected on the first business day after the applicable Conversion Date. The Conversion Date with respect to each redemption request shall occur on the same day after the applicable redemption request has been received by the Administrator.

Time Limit for Subscriptions/Redemptions

Until 2PM (Brasilia Time)

Transaction Limits

Initial Application: R$ 50.000,00
Subsequent Transactions: R$ 10.000,00
Initial Application via plataforms: R$ 10.000,00

Initial via investment platforms: R$ 1.000,00

Administration Fee

Total of 1.50% p.a., being 1.35% administration fee of JGP Hedge FIC FIM in addition to 0.15% of JGP Hedge Master FIM, applied daily and paid monthly.

This fee may be increased by the Management Fee paid to other investment funds in which this Fund invests, reaching a maximum of 2.00% p.a.

Performance Fee

20% of what exceeds the CDI Index. High-Water Mark. Paid annually or upon redemption, whichever comes first.

Tax Classification

Long-Term (Income Tax Regressive Table)

IOF (Financial Transaction Tax)

Incident on applications redeemed (quoted) before the 30th day

Risk Profile:

Aggressive

Manager

JGP Gestão de Recursos Ltda.

Administrator

BNY Mellon Serviços Financeiros DTVM S.A.

Broker-Dealer

JGP Gestão de Recursos Ltda.

Custodiante

Banco BNY Mellon S.A.

Auditor

Deloitte Touche Tohmatsu Auditores Independentes

Foreign Investments

Up to 20% of the fund’s Net Equity.

Bank Details

Account Holder: JGP HEDGE FUNDO DE INVESTIMENTO EM COTAS DE FUNDOS DE INVESTIMENTO MULTIMERCADO
Brazilian National Registry of Legal Entities Number (CNPJ): 03.119.883/0001-41
Bank Name: Banco Mellon – 17
Branch Number: 1
Account Number: 2311-6

 

Informações Complementares

Download here

Relatório Comercial

Download here

Regulamento

Download here

About the fund

JGP Max Fund is a multi-strategy fund domiciled in Brazil and seeks capital appreciation in Brazilian Reais. The Fund is primarily dedicated to Brazilian securities but can trade international markets. The Fund strives for a superior, risk-adjusted return, in absolute terms, over the long-term with low correlation to broader markets. The Investment Team achieves this objective by trading, both long and short, in a wide range of securities (in the fixed income, equities, foreign exchange, credit and commodities markets and their derivatives) while adhering to strict risk-control techniques.

Objective

Absolute returns. Outperforming the benchmark (CDI) in the long term.

Target Audience

Investors in General (Brazilian investors only)

ANBIMA Classification

Multimercado Multiestratégia

ANBIMA Code

191663

Start date
01/08/2007

Administration fee:
2.00% a.a.

Performance Fee:
20.00%

Benchmark:
CDI

Performance

Subscriptions

Daily, at the closing NAV per share calculated as of the date the proceeds are made available to the fund

Redemptions

Redemptions shall be effected on the first business day after the applicable conversion date. The conversion date in respect of each redemption request shall occur on the 15th day after the applicable redemption request has been received by the administrator

In cases where expressly requested by the investor, the conversion date shall occur on the 5th day after the applicable redemption request has been received by the Administrator, subject to the payment by the investor of a redemption fee equal to 5% of the redemption proceeds

Time Limit for Subscriptions/Redemptions:

Until 2PM (Brasilia Time)

Transaction Limits

Initial Application: R$ 100.000,00
Subsequent Transactions: R$ 50.000,00
Minimum Balance: R$ 100.000,00

Initial Application via plataforms: R$ 10.000,00

Administration Fee

Total of 2.00% p.a., being 1.85% administration fee of JGP Max FIC FIM in addition to 0.15% of JGP Max Master FIM, applied daily and paid monthly. This fee may be increased by the administration fee paid to investment funds in which the Fund invests and may reach a maximum of 2.5% p.a.

This fee may be increased by the Management Fee paid to other investment funds in which this Fund invests, reaching a maximum of 2.50% p.a.

Performance Fee

20% of what exceeds the CDI Index. High-Water Mark. Paid annually or upon redemption, whichever comes first.

Taxation

Long-Term (Income Tax Regressive Table)

IOF (Financial Transaction Tax)

Incident on applications redeemed (quoted) before the 30th day

Risk Profile

Aggressive

Manager

JGP Gestão de Recursos Ltda.

Administrator

BNY Mellon Serviços Financeiros DTVM S/A

Broker-Dealer

JGP Gestão de Recursos Ltda.

Custodian

Banco BNY Mellon S.A.

Auditor

Deloitte Touche Tohmatsu Auditores Independentes

Foreign Investments

Up to 20% of the fund’s Net Equity

Bank Details

Account Holder: JGP MAX FUNDO DE INVESTIMENTO EM COTAS DE FUNDOS DE INVESTIMENTO MULTIMERCADO
Brazilian National Registry of Legal Entities Number (CNPJ): 08.912.591/0001-85
Bank Name: Banco Mellon – 17
Branch Number: 1
Account Number: 2314-0

 

Informações Complementares

Download here

Relatório Comercial

Download here

Regulamento

Download here

About the fund

JGP Strategy fund is a multi-strategy fund domiciled in Brazil and seeks capital appreciation in Brazilian Reais. The Fund is primarily dedicated to Brazilian securities but can trade international markets. The Fund strives for a superior, risk-adjusted return, in absolute terms, over the long-term with low correlation to broader markets. The Investment Team achieves this objective by trading, both long and short, in a wide range of securities (in the fixed income, equities, foreign exchange, credit and commodities markets and their derivatives) while adhering to strict risk-control techniques.

Objective 

Absolute returns. Outperforming the benchmark (CDI) in the long term.

Target Public

Investors in General (Brazilian investors only)

Anbima Category

Multimercado Multiestratégia

ANBIMA Code

285560

Start date
31/08/2011

Administration fee:
2.00% a.a.

Performance Fee:
20.00%

Benchmark:
CDI

Performance

Subscriptions

Daily, at the closing NAV per share calculated as of the date the proceeds are made available to the fund

Redemptions

Redemptions shall be effected on the first business day after the applicable conversion date. The conversion date in respect of each redemption request shall occur on the 30th day after the applicable redemption request has been received by the administrator

In cases where expressly requested by the investor, the conversion date shall occur on the 5th day after the applicable redemption request has been received by the Administrator, subject to the payment by the investor of a redemption fee equal to 5% of the redemption proceeds.

Time Limit for Subscriptions/Redemptions

Until 2PM (Brasilia Time)

Transaction Limits

Initial Application: R$ 100.000,00
Subsequent Transactions: R$ 50.000,00
Minimum Balance: R$ 100.000,00

Initial Application via plataforms: R$ 1.000,00

Administration Fee

Total of 2.00% p.a., being 1.85% administration fee of JGP Strategy FIC FIM in addition to 0.15% of JGP Strategy Master FIM, applied daily and paid monthly. This fee may be increased by the administration fee paid to investment funds in which the Fund invests and may reach a maximum of 2.5% p.a.

This fee may be increased by the Management Fee paid to other investment funds in which this Fund invests, reaching a maximum of 2.50% p.a.

Performance Fee

20% of what exceeds the CDI Index. High-Water Mark. Paid annually or upon redemption, whichever comes first.

 

Tax Classification

Long-Term (Income Tax Regressive Table)

IOF (Financial Transaction Tax)

Incident on applications redeemed (quoted) before the 30th day

Risk Profile

Aggressive

Manager

JGP Gestão de Recursos Ltda.

Administrator

BNY Mellon Serviços Financeiros DTVM S/A.

Broker-Dealer

JGP Gestão de Recursos Ltda.

Custodiante

BNY Mellon Banco S.A.

Auditor

KPMG Auditores Independentes

Foreign Investments

Up to 20% of the fund’s Net Equity.

Bank Details

Account Holder: JGP STRATEGY FUNDO DE INVESTIMENTO EM COTAS DE FUNDOS DE INVESTIMENTO MULTIMERCADO
Brazilian National Registry of Legal Entities Number (CNPJ): 13.812.165/0001-00
Bank Name: Banco Mellon – 17
Branch Number: 1
Account Number: 2162-8

Informações Complementares

Download here

Relatório Comercial

Download here

Regulamento

Download here

About the fund

Multi-Strategy pension plans fund which invests in diversified strategies in the local fixed income, equities, and foreign exchange markets and, to a lesser extent, abroad. The portfolio is mainly made up of long-term investments and, to a lesser extent, tactical operations with a more opportunistic focus. The management team is made up of professionals with different and complementary styles, working in a collegiate model. The management team can use derivative instruments in its portfolio, seeking to protect the portfolio and maximize gains.

Strategy available from the following insurance companies:

Bradesco, BrasilPrev, Icatu, Itaú, Safra, Santander, Sulamérica e XP.

Objective

Absolute returns. Outperforming the benchmark (CDI) in the long term.

Target Audience

Exclusivo Previdenciário.

ANBIMA Classification

Previdência Multimercados

ANBIMA Code

431303

Start date:
23/12/2016

Administration fee:
2.00% a.a.

Performance Fee:
Não há

Benchmark:
Without

Performance

Subscriptions

Daily, at the closing NAV per share calculated as of the date the proceeds are made available to the fund.

Redemptions

Redemptions shall be effected on the first business day after the applicable conversion date. The conversion date in respect of each redemption request shall occur on the 1st day after the applicable redemption request has been received by the administrator.

Time Limit for Subscriptions/Redemptions

Until 2PM (Brasilia Time)

Transaction Limits

Initial Application: None
Minimum Balance: None

Administration Fee

Total of 2.00% p.a.

Performance Fee

None.

Tax Classification

Long-Term (Income Tax Regressive Table)

IOF (Financial Transaction Tax)

Incident on applications redeemed (quoted) before the 30th day

Risk Profile

Aggressive

Manager

JGP Gestão de Recursos Ltda.

Administrator

SulAmérica Investimentos DTVM S/A

Custodian

Banco Bradesco S.A

Auditor

Deloitte Touche Tohmatsu Auditores Independentes

Informações Complementares

Download here

Relatório Comercial

Download here

Regulamento

Download here

About the fund

Multi-Strategy pension plans fund which invests in diversified strategies in the local fixed income, equities, and foreign exchange markets and, to a lesser extent, abroad. The portfolio is mainly made up of long-term investments and, to a lesser extent, tactical operations with a more opportunistic focus. The management team is made up of professionals with different and complementary styles, working in a collegiate model. The management team can use derivative instruments in its portfolio, seeking to protect the portfolio and maximize gains.

Strategy available from the following insurance companies:

Bradesco, BrasilPrev, Icatu, Itaú, Safra, Santander, Sulamérica e XP.

Objective

Absolute returns. Outperforming the benchmark (CDI) in the long term.

Target Audience

Exclusivo Previdenciário.

ANBIMA Classification

Previdência Multimercados

ANBIMA Code

431303

Start date
23/12/2016

Administration fee:
2.00% a.a.

Performance Fee:
%

Benchmark:

Performance

Subscriptions

Daily, at the closing NAV per share calculated as of the date the proceeds are made available to the fund.

Redemptions

Redemptions shall be effected on the first business day after the applicable conversion date. The conversion date in respect of each redemption request shall occur on the 1st day after the applicable redemption request has been received by the administrator.

Time Limit for Subscriptions/Redemptions

Until 2PM (Brasilia Time)

Transaction Limits

Initial Application: None
Minimum Balance: None

Administration Fee

Total of 2.00% p.a.

Performance Fee

None.

Tax Classification

Long-Term (Income Tax Regressive Table)

IOF (Financial Transaction Tax)

Incident on applications redeemed (quoted) before the 30th day

Risk Profile

Aggressive

Manager

JGP Gestão de Recursos Ltda.

Administrator

SulAmérica Investimentos DTVM S/A

Custodian

Banco Bradesco S.A

Auditor

Deloitte Touche Tohmatsu Auditores Independentes

Informações Complementares

Download here

Relatório Comercial

Download here

Regulamento

Download here

About the fund

Fundo de Renda Fixa Ativa que busca a valorização de suas cotas através de um portfólio compostos por títulos soberanos pré e pós fixados e por operações no Brasil e exterior. O Fundo não incorrerá em risco de crédito privado tampouco cambial, a não ser para hedge de posições montadas no exterior.

Objective 

Retornos absolutos. Superar o benchmark (CDI) no longo prazo;

Target Audience

Investors in General (Brazilian investors only)

ANBIMA Classification

Renda Fixa;

ANBIMA Code

724203

Start date:
28/09/2023

Administration fee:
1.00% a.a.

Performance Fee:
1.88%

Benchmark:
CDI

Performance

Time Limit for Subscriptions/Redemptions

Until 2PM (Brasilia Time)

Transaction Limits

Initial Application: R$ 5.000,00
Subsequent Transactions: R$ 1.000,00
Minimum Balance: R$ 1.000,00

Administrator

BNY Mellon Serviços Financeiros DTVM S.A.

Custodian

BNY Mellon Banco S.A.

CNPJ

52.279.655/0001-44

 

Cotização de Aplicações

 

Cotização de Resgates

 

Financeiro de Resgates

Cotização em D+5; Pagamento no dia útil subsequente

Taxa de Administração

Total de 1,00% aa (sendo 0,85% no FIC e 0,15% no Master), apropriada diariamente e paga mensalmente. Essa taxa poderá ser acrescida da taxa de administração paga a outros fundos de investimento em que o Fundo invista, podendo atingir a percentagem máxima de 1,30% a.a..

Taxa de Administração Máxima

None

Taxa de Performance

20% sobre o CDI. High water. Paga anualmente ou no resgate de cotas, o que ocorrer primeiro.

Taxa de Saída

None

Regime de Tributação

Longo Prazo

IOF (Financial Transaction Tax)

Incidente em aplicações resgatadas (cotizadas) antes do 30º dia

Informações Complementares

Download here

Regulamento

Download here

About the fund

Fundo de Renda Fixa Ativa que busca a valorização de suas cotas através de um portfólio compostos por títulos soberanos pré e pós fixados e por operações no Brasil e exterior. O Fundo não incorrerá em risco de crédito privado tampouco cambial, a não ser para hedge de posições montadas no exterior.

Objective 

Retornos absolutos. Superar o benchmark (CDI) no longo prazo;

Target Audience

Investors in General (Brazilian investors only)

ANBIMA Classification

Renda Fixa;

ANBIMA Code

724203

Start date
28/09/2023

Administration fee:
1.00% a.a.

Performance Fee:
1.88%

Benchmark:
CDI

Performance

Time Limit for Subscriptions/Redemptions

Until 2PM (Brasilia Time)

Transaction Limits

Initial Application: R$ 5.000,00
Subsequent Transactions: R$ 1.000,00
Minimum Balance: R$ 1.000,00

Administrator

BNY Mellon Serviços Financeiros DTVM S.A.

Custodian

BNY Mellon Banco S.A.

CNPJ

52.279.655/0001-44

 

Cotização de Aplicações

 

Cotização de Resgates

 

Financeiro de Resgates

Cotização em D+5; Pagamento no dia útil subsequente

Taxa de Administração

Total de 1,00% aa (sendo 0,85% no FIC e 0,15% no Master), apropriada diariamente e paga mensalmente. Essa taxa poderá ser acrescida da taxa de administração paga a outros fundos de investimento em que o Fundo invista, podendo atingir a percentagem máxima de 1,30% a.a..

Taxa de Administração Máxima

None

Taxa de Performance

20% sobre o CDI. High water. Paga anualmente ou no resgate de cotas, o que ocorrer primeiro.

Taxa de Saída

None

Regime de Tributação

Longo Prazo

IOF (Financial Transaction Tax)

Incidente em aplicações resgatadas (cotizadas) antes do 30º dia

Informações Complementares

Download here

Regulamento

Download here

See also