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Fundo De Investimento Em Ações Dividendos 114 (0P0000U4EM)

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686.651 -6.950    -1.00%
21/11 - Closed. Currency in BRL
  • Morningstar Rating:
  • Total Assets: 1.42B
Type:  Fund
Market:  Brazil
Issuer:  Fundação Cesp
ISIN:  BRD114CTF002 
S/N:  07.792.415/0001-94
Asset Class:  Other
FUNDO DE INVESTIMENTO EM AÇÕES DIVIDENDOS 114 686.651 -6.950 -1.00%

0P0000U4EM Holdings

 
Comprehensive information about top holdings and Key Holding Information for the FUNDO DE INVESTIMENTO EM AÇÕES DIVIDENDOS 114 (0P0000U4EM) fund. Our FUNDO DE INVESTIMENTO EM AÇÕES DIVIDENDOS 114 portfolio information includes stock holdings, annual turnover, top 10 holdings, sector and asset allocation.

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Name  Net %  Long %  Short %
Cash 0.870 0.870 0.000
Stocks 95.670 95.670 0.000
Bonds 0.240 0.240 0.000
Other 3.210 3.210 0.000

 Style Box

Value & Growth Measures

Ratios Value Category Average
P/E Ratio 7.334 10.154
Price to Book 1.236 1.401
Price to Sales 1.022 1.338
Price to Cash Flow 3.529 16.428
Dividend Yield 7.795 5.455
5 Years Earnings Growth 12.821 15.291

Sector Allocation

Name  Net % Category Average
Utilities 22.050 23.392
Basic Materials 16.510 17.141
Energy 14.130 14.708
Financial Services 13.510 14.375
Industrials 12.460 11.080
Consumer Cyclical 10.000 12.275
Communication Services 5.940 2.677
Consumer Defensive 2.940 11.746
Healthcare 2.450 6.501

Region Allocation

  • Latin America
  • Emerging Markets

Top Holdings

Number of long holdings: 24

Number of short holdings: 1

Name ISIN Weight % Last Change %
  VALE ON BRVALEACNOR0 12.73 58.18 +0.97%
  PETROBRAS PN BRPETRACNPR6 8.26 39.42 +3.98%
  ITAUUNIBANCOPN EB N1 BRITUBACNPR1 6.95 34.11 +0.29%
  BRADESCO PN EJ N1  BRBBDCACNPR8 5.97 13.80 +0.22%
  SABESP ON BRSBSPACNOR5 5.28 98.03 +1.27%
  PETROBRAS ON BRPETRACNOR9 5.26 43.24 +5.23%
  CYRELA REALT ON BRCYREACNOR7 4.86 21.09 +3.33%
  LOJAS RENNER ON BRLRENACNOR1 4.71 16.15 +3.00%
  Centrais Eletricas Brasileiras BRELETACNOR6 4.63 35.26 +0.40%
  EQUATORIAL ON BREQTLACNOR0 4.52 32.74 +0.74%

Top Other Funds by Fundação Cesp

  Name Rating Total Assets YTD% 3Y% 10Y%
  MULTIMERCADO GERIBA CREDITO PRIVADO 11.7B 8.99 11.94 9.23
  RIO MULTIMERCADO 06 CREDITO PRIVADO 10.09B 5.37 7.31 11.89
  ATUARIAL 06 FUNDO DE INVESTIMENTO M 8.09B 6.37 8.00 12.66
  RIO MULTIMERCADO 03 CREDITO PRIVADO 6.43B 5.42 7.50 11.49
  RIO MULTIMERCADO 11 CREDITO PRIVADO 4.75B 5.11 7.36 10.83
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