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Kkvv Fundo De Investimento Financeiro Multimercado Crédito Privado - Responsabilidade Limitada (0P0000UA5V)

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184.839 +0.320    +0.17%
24/02 - Delayed Data. Currency in BRL
Type:  Fund
Market:  Brazil
Issuer:  Reliance Asset mgmt Administração de Recursos Ltda
ISIN:  BRKKV1CTF001 
S/N:  03.157.983/0001-62
Asset Class:  Other
  • Morningstar Rating:
  • Total Assets: 765.2M
KKVV FUNDO DE INVESTIMENTO MULTIMERCADO CRÉDITO PR 184.839 +0.320 +0.17%

0P0000UA5V Holdings

 
Comprehensive information about top holdings and Key Holding Information for the KKVV FUNDO DE INVESTIMENTO MULTIMERCADO CRÉDITO PR (0P0000UA5V) fund. Our KKVV FUNDO DE INVESTIMENTO MULTIMERCADO CRÉDITO PR portfolio information includes stock holdings, annual turnover, top 10 holdings, sector and asset allocation.

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Name  Net %  Long %  Short %
Cash 0.120 0.140 0.020
Bonds 99.600 99.600 0.000
Other 0.280 0.280 0.000

 Style Box

Value & Growth Measures

Ratios Value Category Average
P/E Ratio 8.977 10.393
Price to Book 1.476 1.384
Price to Sales 0.851 1.558
Price to Cash Flow 4.063 13.392
Dividend Yield 3.822 5.500
5 Years Earnings Growth 3.152 14.818

Sector Allocation

Name  Net % Category Average
Government 97.949 3,020.520
Corporate 1.648 13.783
Cash 0.120 2,300.840

Region Allocation

  • Latin America
  • Emerging Markets

Top Holdings

Number of long holdings: 13

Number of short holdings: 1

Name ISIN Weight % Last Change %
  Brazil 0 01-Mar-2026 BRSTNCLF1RE0 39.13 16,112.530 +0.05%
  Brasil 0 01-JAN-2026 BRSTNCLTN7U7 20.00 890.050 -0.01%
  Brazil 0 01-Sep-2027 BRSTNCLF1RH3 17.09 0.049 0%
  Brazil 0 01-Mar-2028 BRSTNCLF1RI1 10.03 0.054 0%
Bradesco TPF Simples FI RF - 5.66 - -
  Brazil 0 01-Sep-2025 BRSTNCLF1RD2 4.04 -0.004 33.33%
SECRETARIA TESOURO NACIONAL 01/03/27 BRSTNCLF1RG5 2.01 - -
VALE SA BRVALEDBS028 1.65 - -
AXIS RENOVÁVEIS FDO DE INVESTIMENTO EM DIREITOS CREDITÓRIOS BR04PXCTF002 0.15 - -
DELTA ENERGPRE-PAGAMENTO I - FDO DE INVESTIMENTO EM DIREITOS CREDRIOS BR03UACTF002 0.13 - -

Top Other Funds by BR Partners Gestão de Recursos Ltda

  Name Rating Total Assets YTD% 3Y% 10Y%
  SMAREF FUNDO DE INVESTIMENTO MULTIM 234.43M 0.85 -2.48 -
  RENTAMIX FUNDO DE INVESTIMENTO MULT 207.22M 0.08 8.32 5.94
  VB INVEST FIC DE FUNDOS DE INVESTIM 179.29M -2.43 9.42 -
  ETOILE FUNDO DE INVESTIMENTO MULTIM 126.48M -0.38 10.09 10.60
  TORONTO FUNDO DE INVESTIMENTO MULTI 133.08M 9.06 9.36 9.53
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