Managed by two Brazilian equity teams, the fund seeks to outperform the Ibovespa over the medium term. It may hold 70% to 130% of its NAV in equities and derivatives, and up to 30% in short positions, maintaining a net equity exposure above 70%. We aim to operate Tarkus with a tracking error of around 10% relative to the Ibovespa over time.
Managed by two Brazilian equity teams, the fund seeks to outperform the Ibovespa over the medium term. It may hold 70% to 130% of its NAV in equities and derivatives, and up to 30% in short positions, maintaining a net equity exposure above 70%. We aim to operate Tarkus with a tracking error of around 10% relative to the Ibovespa over time.
TARKUS
PERFORMANCE
CHARACTERISTICS
CNPJ/MF
Classe
Data de Início
Investimento Inicial
Aplicação Adicional
Resgate Mínimo
Saldo Mínimo
Cota de Aplicação
Cota de Resgate
Pagamento do Resgate
Taxa de Antecipação do Resgate
Taxa de Administração
Taxa de Performance
Público-Alvo
Classificação ANBIMA
IOF
IR
Benchmark
Administrador Fiduciário
Custodiante
Gestor de Recursos
Lâmina e composição da carteira
INVESTMENT TEAMS
DM Macro
Brazil FI
C. Woelz
A. Baum
A. Binnie
+3
DM Macro
C. Woelz
T. Bueno
+3
Macro Edge
C. Woelz
S. Kadobayashi
A. Untem
+5
Cross-Asset
C. Woelz
F. Diógenes
+3
Equities
Brazilian Equites I
H. Horta
+9 analistas compartilhados
Brazilian Equites II
B. Mauad
+9 analistas compartilhados
Global Active Trading
B. Cordeiro
T. Chor
V. Ajuz
+12
EM, FI & FX
N. Sampaio
+4
Global Equities
D. Correa
+4
Event Driven
D. Dupont
+1
Treasury
C. Woelz
R. Poppe
+4