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Bb Top Juros E Moedas Lp Fundo De Investimento Multimercado (0P0000U43P)

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3.781 +0.002    +0.05%
29/04 - Closed. Currency in BRL ( Disclaimer )
  • Morningstar Rating:
  • Total Assets: 14.73B
Type:  Fund
Market:  Brazil
Issuer:  BB Gestão de Recursos DTVM SA
ISIN:  BRTRD5CTF008 
Asset Class:  Bond
BB TOP TRADE PLUS LP FUNDO DE INVESTIMENTO MULTIME 3.781 +0.002 +0.05%

0P0000U43P Holdings

 
Comprehensive information about top holdings and Key Holding Information for the BB TOP TRADE PLUS LP FUNDO DE INVESTIMENTO MULTIME (0P0000U43P) fund. Our BB TOP TRADE PLUS LP FUNDO DE INVESTIMENTO MULTIME portfolio information includes stock holdings, annual turnover, top 10 holdings, sector and asset allocation.

Asset Allocation

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Name  Net %  Long %  Short %
Cash 14.530 20.230 5.700
Shares 0.170 2.480 2.310
Bonds 83.320 83.350 0.030
Other 1.980 1.980 0.000

Sector Allocation

Name  Net % Category Average
Government 76.695 2,925.420
Cash 14.521 2,294.920
Corporate 6.666 12.919

Region Allocation

  • Latin America
  • Emerging Markets

Top Holdings

Number of long holdings: 55

Number of short holdings: 22

Name ISIN Weight % Last Change %
  Brazil 10 01-Jan-2029 BRSTNCNTF1Q6 28.18 990.309 +0.78%
  Brazil BRGOVT 0 01-MAR-2025 BRSTNCLF1RC4 7.38 14,774.057 +0.00%
  Tesouro IPCA + NTNB 6 15-Aug-2028 BRSTNCNTB4X0 5.09 4,258.661 -0.44%
  Brazil 0 01-Sep-2025 BRSTNCLF1RD2 4.43 14,770.363 +0.04%
BB Top Alto Rendimento FI RF C Priv LP - 4.39 - -
SECRETARIA TESOURO NACIONAL 01/03/24 BRSTNCLF1RA8 4.28 - -
  Brazil 0 01-Jul-2026 BRSTNCLTN848 4.24 808.918 -0.36%
  Brazil 0 01-Mar-2026 BRSTNCLF1RE0 3.38 14,767.760 +0.04%
  Brazil 0 01-Sep-2028 BRSTNCLF1RK7 3.29 14,690.920 +0.04%
  Tesouro Selic Vencimento em 01/03/2027 BRSTNCLF1RG5 2.62 14,734.935 +0.00%

Top Bond Funds by BB Gestão de Recursos DTVM SA

  Name Rating Total Assets YTD% 3Y% 10Y%
  BRASILPREV TOP TPF FUNDO DE INVESTI 166.48B 13.29 10.21 9.38
  BB EXTRAMERCADO EXCLUSIVO FAT FUNDO 56.34B 13.63 8.56 11.08
  BB RENDA FIXA REFERENCIADO DI PLUS 40.21B 11.96 8.86 8.26
  BR04BPCTF008 44.34B 12.70 9.98 -
  BB RENDA FIXA REFERENCIADO DI TITUL 28.94B 12.98 9.85 9.14
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