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Mutual Funds


RANK NAME         NAV    YTD    1YR    3YR    5YR
1BEM-BI INV H YLD0.44219.24230.48N.A.N.A.
2LEBLON-POSTO 11178.8977.79N.A.N.A.N.A.
3FINAM-INV UNITN.A.61.5431.25-19.26-6.88
4TAMISA-FDO INV M286.2626.93133.99N.A.N.A.
5BB-CART LIVR FIA84.8721.9323.2718.2023.49
6ATRIUM-FIA17.0920.98-34.25-16.13-5.64
7PERIMETER-MAXIMO1.1520.37N.A.N.A.N.A.
8OPP-LUXOR FI MUL2467.8519.26101.6115.2318.63
9REAL-FI ACOES NM479.1818.94-40.06-5.93N.A.
10PERIMET PRV 3 FI1.3518.1532.90N.A.N.A.
11RF BRTPREV FBT066.0018.0127.8318.7716.37
12BRAD-R FX VET II1.8017.6823.49N.A.N.A.
13PERIMETER GNM FI1.2717.11N.A.N.A.N.A.
14CIANO FI MULTIME0.4316.04N.A.N.A.N.A.
15VERONA FI MULTIM0.6015.699.87N.A.N.A.
16SHOPPING-PAT HIG200.6415.0357.3717.15N.A.
17FIRENZE-IN NO EX1.1215.02N.A.N.A.N.A.
18FIM MESTRE347.2414.8894.7826.65N.A.
19ALLOC-EXCLUS III1.1514.79N.A.N.A.N.A.
20TARPON VALOR FIA1.3213.91110.40N.A.N.A.
21LEGAN-PRV 8 FI M1.3613.7628.79N.A.N.A.
22CESP-FICFIA VRD290.0913.7013.6930.81N.A.
23TCSPREV FBT 01423.5713.6423.9517.0216.04
24FI MULTIMERCADO28.3613.4615.00N.A.N.A.
25CARTEIRA ATIVA 249.9613.4113.3628.3032.18


Unless indicated otherwise: intraday data is at least 15 minutes delayed; mutual fund NAVs are updated at the close of every market day; all prices are in the local currency; Time is ET.

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