Projeto independente. Sem vínculo com o Governo Federal. Dados de fontes públicas oficiais.
theBRinsider
Entrar
Mercado de Capitais/Explorador de grafo

Grafo de fundos — explorador

Dado um CNPJ de fundo, percorre a cadeia em duas direções: downstream (o que o fundo detém) e upstream (quem detém o fundo) — em até 3 saltos. Cobre o universo 555 (fundos abertos com CDA declarada).

Nós únicos
141
Arestas downstream
2
Arestas upstream
138
Profundidade máx. encontrada
3

Downstream — o que 35.769.107/0001-83 detém

SaltoOrigemDestinoValor de mercadoExplorar
135.769.107/0001-8351.225.664/0001-90
ITAÚ CUSTÓDIA SOBERANO RENDA FIXA SIMPLES FUNDO DE INVESTIMENTO FINANCEIRO DA CIC RESP LIMITADA
R$ 9,4M
251.225.664/0001-9011.419.818/0001-60
ITAÚ VERSO A RENDA FIXA REFERENCIADO DI FUNDO DE INVESTIMENTO FINANCEIRO RESPONSABILIDADE LIMITADA
R$ 1.180M

Upstream — quem detém 35.769.107/0001-83

SaltoOrigemDestinoValor de mercadoExplorar
135.744.790/0001-0235.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 282,1M
141.994.525/0001-7735.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 48,9M
135.670.344/0001-9235.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 15,3M
135.812.980/0001-0135.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 4,3M
131.008.496/0001-7335.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 3,6M
105.117.996/0001-3335.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 3,3M
147.227.862/0001-1535.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 3,3M
122.014.217/0001-9335.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 3,2M
140.996.782/0001-8535.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 2,5M
163.941.847/0001-9035.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 2,3M
117.036.353/0001-4435.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 2,1M
135.813.012/0001-1035.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 2M
137.758.827/0001-7935.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 1,8M
118.197.417/0001-5135.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 1,8M
126.470.433/0001-0235.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 1,7M
142.556.488/0001-8835.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 1,7M
142.502.314/0001-3235.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 1,6M
111.179.939/0001-8135.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 1,6M
117.412.601/0001-0435.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 1,5M
161.571.532/0001-7335.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 1,3M
110.263.617/0001-5335.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 1,3M
142.154.541/0001-1435.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 1,2M
110.699.187/0001-1735.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 1,1M
126.470.420/0001-2535.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 1,1M
119.204.264/0001-9535.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 1,1M
109.093.658/0001-6035.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 1M
109.144.842/0001-9135.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 0,9M
109.485.298/0001-4135.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 0,8M
111.859.344/0001-7735.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 0,8M
140.884.718/0001-0235.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 0,8M
139.337.342/0001-3735.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 0,8M
137.650.770/0001-9035.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 0,8M
146.206.656/0001-6635.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 0,8M
104.839.905/0001-0035.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 0,8M
126.123.799/0001-0535.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 0,7M
138.354.790/0001-8635.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 0,6M
123.546.695/0001-0735.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 0,6M
142.556.539/0001-7135.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 0,6M
111.419.931/0001-4535.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 0,6M
140.801.830/0001-3235.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 0,6M
108.532.552/0001-5235.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 0,5M
129.602.952/0001-6735.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 0,5M
115.212.603/0001-2435.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 0,5M
160.251.047/0001-5035.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 0,5M
140.814.893/0001-2335.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 0,5M
142.464.898/0001-0735.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 0,4M
142.464.932/0001-3535.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 0,4M
164.690.163/0001-2635.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 0,4M
119.670.825/0001-4135.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 0,4M
115.626.406/0001-5135.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 0,3M
138.082.515/0001-5035.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 0,3M
142.154.430/0001-0835.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 0,3M
111.959.639/0001-1535.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 0,3M
139.286.683/0001-2035.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 0,3M
142.534.424/0001-8635.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 0,3M
110.474.858/0001-4135.769.107/0001-83
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF MULT IE RESP LIMITADA
R$ 0,3M
220.335.455/0001-7563.941.847/0001-90
MIRANDA DO DOURO 2 FUNDO DE INVESTIMENTO FINANCEIRO MULTIMERCADO RESPONSABILIDADE LIMITADA
R$ 185,1M
226.470.447/0001-1861.571.532/0001-73
MAR 2 FUNDO DE INVESTIMENTO FINANCEIRO MULTIMERCADO RESPONSABILIDADE LIMITADA
R$ 89,6M
227.591.107/0001-0822.014.217/0001-93
ITAÚ VÉRTICE FOF GLOBAL STR FIF CIC MULT INVESTIMENTO NO EXTERIOR RESP LIMITADA
R$ 21,9M
228.914.193/0001-0535.744.790/0001-02
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF - CIC MULT IE - RESP LIMITADA
R$ 14,7M
228.280.864/0001-2322.014.217/0001-93
ITAÚ VÉRTICE FOF GLOBAL STR FIF CIC MULT INVESTIMENTO NO EXTERIOR RESP LIMITADA
R$ 12,6M
228.280.887/0001-3822.014.217/0001-93
ITAÚ VÉRTICE FOF GLOBAL STR FIF CIC MULT INVESTIMENTO NO EXTERIOR RESP LIMITADA
R$ 9,9M
262.463.916/0001-3535.744.790/0001-02
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF - CIC MULT IE - RESP LIMITADA
R$ 2,4M
244.479.771/0001-8935.744.790/0001-02
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF - CIC MULT IE - RESP LIMITADA
R$ 1,1M
259.040.943/0001-9035.744.790/0001-02
GAMA SCHRODER GAIA CONTOUR TECH EQUITY LONG & SHORT BRL FIF - CIC MULT IE - RESP LIMITADA
R$ 0,8M
321.053.181/0001-9459.040.943/0001-90
BRAM PORTFÓLIO SENTINEL FIF MULT CRÉDITO PRIVADO
R$ 11,4M
331.008.130/0001-0228.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 10,4M
342.421.150/0001-1928.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 6M
321.053.165/0001-0028.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 5,7M
324.752.672/0001-1128.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 5,5M
307.913.512/0001-9828.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 4,2M
335.844.987/0001-0528.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 4,1M
334.109.650/0001-9128.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 3,6M
342.431.723/0001-9528.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 3,5M
335.844.983/0001-2728.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 3,5M
330.378.744/0001-0528.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 2,8M
328.849.799/0001-0428.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 2,4M
331.247.274/0001-0328.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 2,4M
330.447.371/0001-8728.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 2M
334.123.581/0001-7028.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 1,8M
330.378.720/0001-5628.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 1,7M
320.216.923/0001-9228.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 1,7M
334.123.584/0001-0428.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 1,4M
317.489.106/0001-0128.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 1,2M
323.045.009/0001-1428.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 1,2M
350.980.475/0001-6028.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 1,2M
304.530.186/0001-4128.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 1,1M
331.031.080/0001-7628.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 1,1M
342.431.802/0001-0428.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 1,1M
318.059.052/0001-0728.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 1,1M
330.392.838/0001-3928.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,9M
328.881.195/0001-4528.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,9M
350.693.321/0001-9728.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,9M
328.914.132/0001-4828.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,9M
305.222.507/0001-0328.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,9M
323.872.433/0001-3228.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,9M
318.000.070/0001-0528.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,8M
337.577.028/0001-0428.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,7M
327.969.152/0001-5328.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,7M
317.047.735/0001-7328.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,7M
342.030.928/0001-6928.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,7M
331.031.333/0001-0128.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,7M
331.008.374/0001-8728.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,7M
342.044.635/0001-3028.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,7M
321.406.990/0001-3228.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,6M
330.447.447/0001-7428.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,6M
338.134.900/0001-0228.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,6M
330.392.645/0001-8828.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,6M
331.008.100/0001-9828.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,6M
318.079.425/0001-0128.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,6M
342.030.818/0001-0528.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,5M
330.378.790/0001-0428.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,5M
342.030.972/0001-7928.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,4M
331.008.074/0001-0628.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,4M
324.752.441/0001-0828.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,4M
324.752.686/0001-3528.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,4M
311.492.367/0001-9628.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,4M
328.254.542/0001-0028.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,4M
321.261.345/0001-7928.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,4M
324.752.422/0001-8128.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,4M
321.321.582/0001-8828.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,4M
342.831.803/0001-3828.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,4M
340.475.385/0001-6828.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,4M
321.406.833/0001-2728.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,3M
342.030.847/0001-6928.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,3M
340.498.142/0001-4528.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,3M
342.030.806/0001-7228.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,3M
326.756.390/0001-1828.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,3M
335.844.998/0001-9528.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,3M
342.431.884/0001-8928.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,3M
342.044.434/0001-3328.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,3M
340.475.472/0001-1528.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,3M
342.030.859/0001-9328.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,2M
337.299.261/0001-6428.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,2M
305.636.365/0001-2028.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,2M
340.475.292/0001-3328.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,1M
345.320.164/0001-3428.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,1M
323.098.410/0001-1228.914.193/0001-05
BRADESCO FI FINANCEIRO - CIC DE CI MULT - PORTFOLIO GLOBAL BRL CRED PRIV - RESP LIMITADA
R$ 0,1M

Cobertura: universo 555 (fundos abertos) que declaram Composição e Diversificação de Carteira (CDA) à CVM. FIPs e FIDCs fechados não declaram CDA — sua cadeia interna não está neste grafo. Fonte: CDA mensal (Portal de Dados Abertos da CVM, licença ODbL).