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Fundo De Investimento Multimercado Rinter Crédito Privado (0P0000U9AI)

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14.328 +0.005    +0.03%
22/10 - Closed. Currency in BRL
  • Morningstar Rating:
  • Total Assets: 100.8M
Type:  Fund
Market:  Brazil
Issuer:  Tag Investimentos Ltda
ISIN:  BRRTR1CTF001 
S/N:  08.807.608/0001-34
Asset Class:  Other
FUNDO DE INVESTIMENTO MULTIMERCADO RINTER 14.328 +0.005 +0.03%

0P0000U9AI Holdings

 
Comprehensive information about top holdings and Key Holding Information for the FUNDO DE INVESTIMENTO MULTIMERCADO RINTER (0P0000U9AI) fund. Our FUNDO DE INVESTIMENTO MULTIMERCADO RINTER 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 2.790 3.300 0.510
Shares 0.010 0.020 0.010
Bonds 36.630 36.630 0.000
Other 60.570 60.570 0.000

 Style Box

Value & Growth Measures

Ratios Value Category Average
P/E Ratio 5.891 13.979
Price to Book 1.261 1.464
Price to Sales 1.329 1.652
Price to Cash Flow 2.152 6.261
Dividend Yield 19.326 5.433
5 Years Earnings Growth 8.713 13.483

Sector Allocation

Name  Net % Category Average
Corporate 19.606 4.897
Government 17.185 31.839
Cash 2.596 28.443
Securitized 0.030 0.041

Region Allocation

  • Latin America
  • Emerging Markets

Top Holdings

Number of long holdings: 15

Number of short holdings: 1

Name ISIN Weight % Last Change %
TAG Vit High Yield 180 FIC FIM C Priv - 18.69 - -
TAG Valora Titan TI FIC FIM C Priv - 18.36 - -
TAG TB High Yield FIM C Priv LP - 15.60 - -
TAG VIT Special Sits FIC FIM C Priv - 7.88 - -
FYP EMPREEND IMOBILIARIOS SA 4% 24/06/27 BRFYPEDBS014 7.25 - -
TAG Ventures FIM C Priv IE - 7.06 - -
TAG Private Equity FIM C Priv IE - 5.46 - -
TAG Domo FIM C Priv - 4.86 - -
BTG Tesouro Selic FI RF Ref DI - 4.67 - -
TAG Treecorp FIM C Priv IE - 3.62 - -

Top Other Funds by Tag Investimentos Ltda

  Name Rating Total Assets YTD% 3Y% 10Y%
  SANTORINI FUNDO DE INVESTIMENTO MUL 225.94M 11.02 6.18 11.13
  MAHALAKSHMI FUNDO DE INVESTIMENTO M 130.54M 4.01 7.18 10.04
  PORTO SEGURO FUNDO DE INVESTIMENTOC 115.03M 8.41 12.21 9.56
  SYNTA FUNDO DE INVESTIMENTO EM COTA 69.28M 0.71 7.49 8.04
  AGRESSIVO FUNDO DE INVESTIMENTO EM 90.92M 1.80 1.14 -
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