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Floresta

FIDC Belat Brasil

Objective

The Fund aims to generate returns for its Unitholders by investing its assets in Credit Rights and Financial Assets, in accordance with the composition and diversification criteria set forth in the Annexes to this Regulation and in compliance with applicable legal and regulatory provisions.

General information

Fund Start Date: 07/04/2023

Name: Belat Brasil Fundo de Investimento Em Direitos Creditórios
CNPJ: 51.290.276/0001-92
Target Investors: Qualified Investors
Management Fee: 1.30% p.a.
Performance Fee: N/A
Asset Manager: FigTree Capital
Fiduciary Administrator: BRL Trust DTVM
Custodian: BRL Trust DTVM
Collection Agent: Belat Brasil Intermediação de Negócios e Impacto Ltda.

Specialized Consultant: Belat Brasil Intermediação de Negócios e Impacto Ltda.

Manager's Letters

The information contained in this material is strictly for informational purposes only. Investment funds do not have any guarantees from the fund administrator, portfolio manager, any insurance mechanism, or the credit guarantee fund (FGC). It is recommended that investors carefully read the fund's regulations and prospectus before investing their funds. Investors must be prepared to accept the inherent risks associated with the various markets in which the funds operate, which may result in potential fluctuations in invested capital. This fund utilizes derivative strategies as an integral part of its investment policy. Such strategies, as adopted, may result in significant losses for its investors. This fund is authorized to invest in financial assets abroad. Past performance is not indicative of future returns. For more information on personal finance, please visit the ANBIMA financial education portal. “How to Invest”

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Copyright © FigTree Capital 2023

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