OUR PRODUCTS
FUND | START DATE | NAV DATE | NAV | DAY | MTD | YTD | 12 MONTHS | 24 MONTHS | 36 MONTHS | SINCE INCEPTION |
---|---|---|---|---|---|---|---|---|---|---|
Constância Fundamento FIA |
16/10/2009 | 17/12/2024 | 4,09691120 | 0,04% | 0,53% | -6,74% | -4,48% | 17,10% | 12,18% | 309,69% |
Ibovespa | 0,92% | -0,77% | -7,07% | -4,87% | 20,21% | 16,07% | 88,36% | |||
Constância Absoluto FIM |
13/04/2018 | 17/12/2024 | 2,26514900 | 0,07% | 3,11% | 10,27% | 11,08% | 26,34% | 48,74% | 126,51% |
% do CDI | 147,04% | 602,60% | 98,56% | 102,56% | 103,17% | 119,28% | 189,80% | |||
Constância Icatu Previdenciário Fim Crédito Privado |
16/06/2020 | 17/12/2024 | 1,3075937 | 0,21% | -0,15% | 2,84% | 4,07% | 21,71% | 20,82% | 30,76% |
% do CDI | 451,96% | - | 27,27% | 37,65% | 85,06% | 50,95% | 64,06% |
Funds Management
Constância Fundamento FIA
Equities long-only strategy that provides a top-of-class risk-return profile through a unique portfolio construction.
Learn moreConstância Absoluto FIM
Equities-based strategies that produce returns with low correlation to the Brazilian benchmarks.
Learn moreConstância Previdenciário FIM
Pension Fund with long-term strategies, seeking returns through Systematic Analysis of Long/Short Equity, risk management with foreign currency and partial hedge.
Learn moreOnde Investir
Confira plataformas em que cada um de nossos fundos está disponível. Se for representante de Fundo de Pensão, RPPS ou Family Office, entre em contato com nosso atendimento.
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