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Bram Fundo De Investimento Multimercado Portfólio De Mercado (0P000187CD)

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BRAM FUNDO DE INVESTIMENTO MULTIMERCADO PORTFÓLIO historical data, for real-time data please try another search
1.490 0.001    0%
22/03 - Closed. Currency in BRL
  • Morningstar Rating:
  • Total Assets: 36.79M
Type:  Fund
Market:  Brazil
ISIN:  BRBMP1CTF008 
S/N:  24.022.612/0001-43
Asset Class:  Bond
BRAM FUNDO DE INVESTIMENTO MULTIMERCADO PORTFÓLIO 1.490 0.001 0%

0P000187CD Holdings

 
Comprehensive information about top holdings and Key Holding Information for the BRAM FUNDO DE INVESTIMENTO MULTIMERCADO PORTFÓLIO (0P000187CD) fund. Our BRAM FUNDO DE INVESTIMENTO MULTIMERCADO PORTFÓLIO portfolio information includes stock holdings, annual turnover, top 10 holdings, sector and asset allocation.

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Name  Net %  Long %  Short %
Bonds 100.020 100.300 0.280

Sector Allocation

Name  Net % Category Average
Government 100.006 44.298
Derivative 0.012 0.554
Cash -0.017 22.205

Region Allocation

  • Latin America
  • Emerging Markets

Top Holdings

Number of long holdings: 13

Number of short holdings: 3

Name ISIN Weight % Last Change %
SECRETARIA TESOURO NACIONAL 01/09/23 BRSTNCLF1R90 44.22 - -
SECRETARIA TESOURO NACIONAL 6% 15/08/22 BRSTNCNTB3Y0 18.55 - -
  Brazil 0 01-Mar-2026 BRSTNCLF1RE0 11.14 15,601.730 +0.04%
SECRETARIA TESOURO NACIONAL 01/03/27 BRSTNCLF1RG5 10.00 - -
SECRETARIA TESOURO NACIONAL 01/09/25 BRSTNCLF1RD2 9.84 - -
SECRETARIA TESOURO NACIONAL 6% 15/05/23 BRSTNCNTB4O9 2.71 - -
SECRETARIA TESOURO NACIONAL 01/09/27 BRSTNCLF1RH3 2.50 - -
SECRETARIA TESOURO NACIONAL 01/09/26 BRSTNCLF1RF7 1.04 - -
  Tesouro IPCA + NTNB 6 15-Aug-2026 BRSTNCNTB4U6 0.00 4,251.092 +0.00%

Top Bond Funds by BRAM – Bradesco Asset Management SA DTVM

  Name Rating Total Assets YTD% 3Y% 10Y%
  BR01XNCTF003 40.46B 13.50 10.37 -
  BRAM FUNDO DE INVESTIMENTO RENDA CO 18.34B 13.79 10.66 9.61
  BRAM FUNDO DE INVESTIMENTO RENDA RU 14.28B 5.33 11.52 9.33
  BRAM FUNDO DE INVESTIMENTO RENDA 15.04B 5.35 12.99 10.20
  BR RENDA FIXA REFERENCIADO DI FEDER 12.24B 5.10 11.03 9.03
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