LATACHE CRÉDITO ESTRUTURADO FIM

Open to investors
Daily Quota
2,10270208
25 Apr 2025
(%) Day
-0.01
(%) Month
1.37
(%) Year
21.20
110.30%
Cumulative return
since inception
37.11%
Cumulative return
last 12 months
History
JanFebMarAprMayJunJulAugSepOctNovDecYearAccumulated
2025
Fund
% CDI
2.60%
257%
14.37%
1452%
1.89%
197%
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
19.56%
656%
107.42%
254%
2024
Fund
% CDI
1.40%
144%
1.11%
139%
3.09%
372%
0.93%
104%
0.97%
117%
1.02%
129%
1.76%
193%
1.20%
138%
1.21%
146%
2.34%
252%
2.50%
333%
1.61%
173%
20.89%
192%
73.49%
192%
2023
Fund
% CDI
1.77%
158%
1.31%
142%
1.69%
144%
1.57%
171%
1.80%
161%
3.34%
312%
1.75%
164%
1.62%
142%
1.66%
171%
1.82%
182%
1.71%
186%
1.24%
138%
23.48%
180%
43.52%
176%
2022
Fund
% CDI
-
-
-
-
0,34%
71%
1,16%
140%
1,54%
150%
1,68%
166%
1,86%
181%
2,06%
176%
1.80%
168%
1.51%
148%
1.63%
160%
1.58%
141%
16.23%
158%
16.23%
158%
Strategy Start: 16/03/2022
Fund liquidity : 24 months
CNPJ: 34.599.295/0001-88
Strategy AUM: R$ 115.506.591,92
Investors: Professional
Administrator Fee: 0,15% aa
Management Fee: 1,75% a.a.
Performance fee : 20% above CDI
Management : Latache Gestão de Recursos Ltda
Administrator & Custodian: Reag DTVM Ltda