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 15/10/2021 3,88173440 1,01% 3,06% 1,81% 16,03% 14,04% 62,44% 288,17%
Ibovespa 1,29% 3,31% -3,67% 15,42% 10,42% 37,01% 73,18%
Constância
Absoluto FIM
13/04/2018 15/10/2021 1,47876120 0,00% 1,16% 11,44% 16,21% 28,21% 43,95% 47,88%
% do CDI - 488,67% 416,00% 511,95% 420,58% 328,15% 282,68%
Constância Icatu Previdenciário
Fim Crédito Privado
16/06/2020 15/10/2021 1,0638759 0,04% 0,91% 4,91% 7,30% - - 6,39%
% do CDI 149,97% 385,06% 178,52% 230,50% - - 165,56%

Funds Management

Constância Fundamento FIA

Constância Fundamento FIA

Equities long-only strategy that provides a top-of-class risk-return profile through a unique portfolio construction.

Learn more
Constância Absoluto FIM

Constância Absoluto FIM

Equities-based strategies that produce returns with low correlation to the Brazilian benchmarks.

Learn more