Nome, ou CNPJ do Fundo

Mb Master DI LP FI Financeiro

GRÁFICO

Tabela de Rentabilidade

JanFevMarAbrMaiJunJulAgoSetOutNovDezAnoAcumulado
2021Fundo
CDI
0.1%
0.1%
0.0%
0.0%
0.1%
0.0%
0.7%
0.2%
0.5%
0.1%
0.2%
0.0%
0.2%
0.2%
0.0%
0.2%
0.3%
0.0%
0.3%
0.3%
0.0%
0.4%
0.4%
0.0%
0.4%
0.4%
0.0%
0.5%
0.4%
0.0%
0.5%
0.5%
0.0%
0.5%
0.5%
0.0%
4.6%
4.2%
0.3%
440%
415%
25.3%
2020Fundo
CDI
0.3%
0.3%
0.0%
0.2%
0.2%
0.0%
0.3%
0.3%
0.0%
0.2%
0.2%
0.0%
0.6%
0.2%
0.3%
0.2%
0.2%
0.0%
0.1%
0.1%
0.0%
0.1%
0.1%
0.0%
0.0%
0.1%
-0.1%
0.1%
0.1%
0.0%
0.1%
0.1%
0.0%
0.1%
0.1%
0.0%
2.9%
2.8%
0.1%
416%
394%
22.3%
2019Fundo
CDI
0.5%
0.5%
0.0%
0.4%
0.4%
0.0%
0.4%
0.4%
0.0%
0.4%
0.5%
0.0%
0.5%
0.5%
0.0%
0.4%
0.4%
0.0%
0.5%
0.5%
0.0%
2.1%
0.5%
1.6%
0.4%
0.4%
0.0%
0.4%
0.4%
0.0%
0.3%
0.3%
0.0%
0.3%
0.3%
0.0%
7.3%
6.0%
1.2%
402%
381%
21.1%
2018Fundo
CDI
0.5%
0.5%
0.0%
0.4%
0.4%
0.0%
0.5%
0.5%
0.0%
0.4%
0.5%
0.0%
0.4%
0.5%
0.0%
0.5%
0.5%
0.0%
0.5%
0.5%
0.0%
0.5%
0.5%
0.0%
0.4%
0.4%
0.0%
0.5%
0.5%
0.0%
0.4%
0.4%
0.0%
0.4%
0.4%
0.0%
6.0%
6.4%
-0.4%
368%
354%
14.1%
2017Fundo
CDI
1.1%
1.0%
0.0%
0.8%
0.8%
0.0%
1.0%
1.0%
0.0%
0.7%
0.7%
0.0%
0.8%
0.9%
0.0%
0.8%
0.8%
0.0%
0.7%
0.8%
0.0%
0.7%
0.8%
0.0%
0.6%
0.6%
0.0%
0.6%
0.6%
0.0%
0.5%
0.5%
0.0%
0.5%
0.5%
0.0%
9.7%
10.0%
-0.3%
341%
326%
14.9%
2016Fundo
CDI
1.0%
1.0%
0.0%
0.9%
1.0%
0.0%
1.1%
1.1%
0.0%
1.0%
1.0%
0.0%
1.0%
1.1%
0.0%
1.1%
1.1%
0.0%
1.0%
1.1%
0.0%
1.1%
1.2%
0.0%
1.0%
1.1%
0.0%
1.0%
1.0%
0.0%
1.0%
1.0%
0.0%
2.0%
1.1%
0.9%
14.8%
14.0%
0.8%
302%
288%
14.3%
2015Fundo
CDI
0.9%
0.9%
0.0%
0.8%
0.8%
0.0%
1.0%
1.0%
0.0%
0.9%
0.9%
0.0%
0.9%
0.9%
0.0%
1.0%
1.0%
0.0%
1.1%
1.1%
0.0%
1.0%
1.1%
0.0%
1.0%
1.1%
0.0%
1.0%
1.1%
0.0%
1.0%
1.0%
0.0%
1.1%
1.1%
0.0%
12.8%
13.2%
-0.3%
250%
240%
10.1%
2014Fundo
CDI
0.8%
0.8%
0.0%
0.7%
0.7%
0.0%
0.7%
0.7%
0.0%
0.8%
0.8%
0.0%
0.8%
0.8%
0.0%
0.7%
0.8%
0.0%
0.9%
0.9%
0.0%
0.8%
0.8%
0.0%
0.8%
0.9%
0.0%
0.9%
0.9%
0.0%
0.8%
0.8%
0.0%
0.9%
0.9%
0.0%
10.5%
10.8%
-0.3%
211%
200%
10.1%
2013Fundo
CDI
0.5%
0.5%
0.0%
1.4%
0.4%
0.9%
0.5%
0.5%
0.0%
0.6%
0.6%
0.0%
0.5%
0.5%
0.0%
0.5%
0.5%
0.0%
0.7%
0.7%
0.0%
0.6%
0.6%
0.0%
0.6%
0.7%
0.0%
0.7%
0.8%
0.0%
0.6%
0.7%
0.0%
0.7%
0.7%
0.0%
8.9%
8.1%
0.8%
181%
171%
9.9%
2012Fundo
CDI
0.8%
0.8%
0.0%
0.7%
0.7%
0.0%
0.8%
0.8%
0.0%
0.7%
0.7%
0.0%
0.7%
0.7%
0.0%
0.5%
0.6%
0.0%
0.5%
0.6%
-0.1%
0.6%
0.6%
0.0%
0.5%
0.5%
0.0%
0.5%
0.6%
0.0%
0.5%
0.5%
0.0%
0.5%
0.5%
0.0%
8.1%
8.4%
-0.3%
158%
151%
7.1%
2011Fundo
CDI
0.8%
0.8%
0.0%
0.8%
0.8%
0.0%
0.8%
0.9%
0.0%
0.8%
0.8%
0.0%
0.9%
0.9%
0.0%
0.9%
0.9%
0.0%
0.9%
0.9%
0.0%
1.0%
1.0%
0.0%
0.9%
0.9%
0.0%
0.8%
0.8%
0.0%
0.8%
0.8%
0.0%
0.8%
0.9%
0.0%
11.3%
11.6%
-0.2%
139%
131%
7.3%
2010Fundo
CDI
0.6%
0.6%
0.0%
0.5%
0.5%
0.0%
0.7%
0.7%
0.0%
0.6%
0.6%
0.0%
0.7%
0.7%
0.0%
0.7%
0.7%
0.0%
2.2%
0.8%
1.4%
0.8%
0.8%
0.0%
0.8%
0.8%
0.0%
0.7%
0.8%
0.0%
0.7%
0.8%
0.0%
3.8%
0.9%
2.8%
14.2%
9.7%
4.5%
115%
107%
7.2%
2009Fundo
CDI
1.0%
1.0%
0.0%
0.8%
0.8%
0.0%
0.9%
0.9%
0.0%
0.8%
0.8%
0.0%
0.7%
0.7%
0.0%
0.7%
0.7%
0.0%
0.7%
0.7%
0.0%
0.6%
0.6%
0.0%
0.6%
0.6%
0.0%
0.6%
0.6%
0.0%
0.6%
0.6%
0.0%
0.7%
0.7%
0.0%
9.6%
9.9%
-0.3%
87.9%
88.9%
-1.0%
2008Fundo
CDI
0.9%
0.9%
0.0%
0.7%
0.8%
0.0%
0.8%
0.8%
0.0%
0.8%
0.9%
0.0%
0.8%
0.8%
0.0%
0.9%
0.9%
0.0%
1.0%
1.0%
0.0%
0.9%
1.0%
0.0%
1.0%
1.1%
0.0%
1.1%
1.1%
0.0%
1.0%
1.0%
0.0%
1.1%
1.1%
0.0%
12.1%
12.4%
-0.3%
71.4%
71.9%
-0.5%
2007Fundo
CDI
1.0%
1.0%
0.0%
0.8%
0.8%
0.0%
1.0%
1.0%
0.0%
0.9%
0.9%
0.0%
1.0%
1.0%
0.0%
0.8%
0.9%
0.0%
0.9%
0.9%
0.0%
0.9%
0.9%
0.0%
0.7%
0.8%
0.0%
0.9%
0.9%
0.0%
0.8%
0.8%
0.0%
0.8%
0.8%
0.0%
11.6%
11.8%
-0.2%
52.9%
53.0%
-0.1%
2006Fundo
CDI
1.4%
1.4%
0.0%
1.1%
1.1%
0.0%
1.4%
1.4%
0.0%
1.0%
1.0%
0.0%
1.2%
1.2%
0.0%
1.1%
1.1%
0.0%
1.1%
1.1%
0.0%
1.2%
1.2%
0.0%
1.0%
1.0%
0.0%
1.0%
1.0%
0.0%
1.0%
1.0%
0.0%
0.9%
0.9%
0.0%
15.0%
15.0%
0.0%
37.0%
36.8%
0.2%
2005Fundo
CDI
1.3%
1.3%
0.0%
1.2%
1.2%
0.0%
1.5%
1.5%
0.0%
1.4%
1.4%
0.0%
1.5%
1.5%
0.0%
1.6%
1.5%
0.0%
1.5%
1.5%
0.0%
1.6%
1.6%
0.0%
1.5%
1.5%
0.0%
1.4%
1.4%
0.0%
1.4%
1.3%
0.0%
1.5%
1.4%
0.0%
19.1%
18.9%
0.2%
19.1%
18.9%
0.2%

Número de Cotistas
Patrimônio Líquido
Composição do Fundo

Dados do Fundo

Dados Cadastrais
Nome Fantasia:MB MASTER REF.DI LP-FDO INV.FINAN. Gestor:MERCANTIL DO BRASIL CORRETORA S/A CTVM
CNPJ:00598452000117 Classe:Fundo de Renda Fixa Patrimônio Líquido:$47,555,207.29 Classe de Risco:1
Administrador:MERCANTIL DO BRASIL CORRETORA S/A CTVM Auditor:PRICEWATERHOUSECOOPERS AUDITORES INDEPENDENTES
Sobre o Administrador:
Políticas do Fundo
Público Alvo:O FUNDO destina-se a investidores, pessoas físicas e/ou jurídicas que desejam obter rentabilidade próxima ao rendimento do Certificado de Depósito Interfinanceiro (CDI). Restrição a Investidores:Aceita aplicações de investidores Pessoa Física e Pessoa Jurídica.
Objetivo do Fundo:O objetivo do FUNDO é possibilitar aos cotistas aplicar seus recursos em ativos de renda fixa que busquem rentabilidade próxima à remuneração do Certificado de Depósito Interfinanceiro (CDI) proporcionando aos seus cotistas, liquidez e segurança.
Política de Investimento:i)     Até 100% em títulos de emissão do Tesouro Nacional e/ou do Banco Central do Brasilii)   Até 50% em títulos e valores mobiliários de renda fixa cujo emissor esteja classificado na categoria de baixo risco de crédito ou equivalente, com certificação por agência de classificação de risco localizada no Paísiii)  No máximo 20% em títulos de emissão do administrador, gestor e ou empresas a eles ligadas, vedada a aquisição de ações de emissão do administrador.
Exposições do Fundo
Percentual do Patrimônio Líquido que pode ser investido no Exterior:0.00%, Percentual do Patrimônio Líquido que pode ser investido em Crédito Privado:50.00%,
Percentual do Patrimônio Líquido que pode ser alavancado:100.00%, Percentual do Patrimônio que Pode Ser Aplicado em Um único Ativo:10.00%,
Derivativos para Proteção:Sim Risco de Perda:Sim Risco de Perda do Principal:Não
Investimentos no Fundo
Investimento Inicial Mínimo:R$100 Investimento Adicional:R$100 Resgate em:0 Dias Úteis
Taxas e Despesas do Fundo
Taxa de Administração:0.30%, Taxa de Administração Mínima:0.00%, Taxa de Administração Máxima:0.00%, Observações:
Percentual de Despesas em 1 ano:0.57%,
SAC
Telefone SAC:3130576227 E-mail SAC:mbcorretora@mercantil.com.br Informações do SAC:

Composição do Fundo



Documentos do Fundo

Data Arquivo
4/29/2021 AGO
7/2/2020 AGO
4/30/2019 AGO
4/30/2019 AGO
12/31/2018 Demonstrações Contábeis
12/31/2017 Demonstrações Contábeis
12/31/2016 Demonstrações Contábeis
4/1/2016 Regulamento do Fundo
12/31/2015 Demonstrações Contábeis
4/30/2015 Regulamento do Fundo
4/30/2015 Prospecto do Fundo
12/31/2014 Demonstrações Contábeis