Canvas Vector

Systematic

Canvas Vector is a product that combines high-yield asset-like returns with mutual fund-like risk. The portfolio consists of assets with high carry (dividends, coupons, rent income, etc.) and a high degree of diversification: there are over 1000 eligible investment assets distributed across six classes and approximately 40 countries. The average carry of the fund’s portfolio is cash + 5% p.a., so that its total return, in the long term, is close to cash + 5% p.a. – in the short term, changes in asset prices (positive or negative) may be more significant. Vector’s low exposure to the Brazilian market allows for low correlation with local assets and funds, positioning the fund as a diversification alternative for Brazilian investors’ portfolios.

Volatility:
6.5% p.a.

Benchmark: CDI

Target Audience: General Investor

Fund Date Unit price (R$) Day Month Year 12M Start PL (R$) Informations
Profitability
Fund Date Quota Day Month Year 12M 24M Since the beginning Start of the fund Heritage
Canvas Vector - - - - - - - -
TOGGLE
  • Patrimônio atual

    -

  • Classe

    R$ 1.000,00

  • Aplicação Inicial Mínima

    R$ 1.000,00

  • Movimentação mínima

    R$ 1.000,00

  • Saldo de perm. no fundo

    R$ 1.000,00

  • Taxas

  • Administração ao ano

    0,00%

  • Administração máxima

    0,00%

  • Performance

    N/D

Profitability chart



Index Date Day Month Year 12M

Documents