Bradesco Asset Ações Crescimento

Detalhes:

Tipo de Fundo:

CNPJ do fundo: 34.054.884/0001-89

Posição no ranking da categoria: 66º colocado

Gráfico de Retorno

Indicadores Quantitativos

Levando em conta o último mês "fechado".

Retorno Anualizado
12 meses: -24.3%24 meses: -5.8%36 meses: 0%48 meses: 0%
Volatilidade
12 meses: 24.3%24 meses: 22%36 meses: 0%
Retorno ajustado a risco
Sharpe 12 meses: -1.235Sortino 12 meses: -1.881Calmar 12 meses: -0.957Sharpe 36 meses: 0

Retornos Mensais

  JANFEVMARABRMAIJUNJULAGOSETOUTNOVDEZANUAL
AnoNome             
2022Fundo3.69%-1.45%8.82%-9.59%1.63%-15.56%5.79%0.00%0.00%0.00%0.00%0.00%-8.73%
Ibov7.12%0.85%6.15%-10.55%3.66%-11.36%4.53%0.00%0.00%0.00%0.00%0.00%-1.49%
diferença-3.43%-2.30%2.67%0.96%-2.03%-4.19%1.27%0.00%0.00%0.00%0.00%0.00%-7.24%
2021Fundo-2.51%-1.32%3.60%5.12%6.49%0.80%-2.59%-2.60%-3.67%-12.22%-3.08%3.90%-9.14%
Ibov-3.57%-4.50%6.29%1.94%5.99%0.46%-3.86%-2.59%-6.65%-6.39%-1.33%2.49%-12.08%
diferença1.06%3.18%-2.68%3.18%0.51%0.34%1.27%-0.01%2.98%-5.83%-1.74%1.41%2.94%
2020Fundo0.91%-7.92%-31.60%16.82%6.13%8.51%7.05%-1.90%-3.66%-4.78%10.65%8.19%-1.39%
Ibov-2.09%-7.62%-31.06%11.33%8.99%8.88%8.37%-3.62%-4.86%-0.43%15.82%9.19%3.07%
diferença3.01%-0.30%-0.54%5.49%-2.86%-0.36%-1.32%1.72%1.20%-4.35%-5.17%-1.00%-4.47%
2019Fundo0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%1.23%1.34%10.16%13.01%
Ibov0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%2.20%1.09%6.59%10.12%
diferença0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%-0.97%0.25%3.57%2.89%

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