Funds Date Nav
Gávea Brasil FIC FIM 26/01/2012 345,952764
Gávea Brasil II FIC FIM 26/01/2012 136,467160
Gávea Plus FIC FIM 26/01/2012 141,162704
Gávea Investimento no Exterior FIC FIM 26/01/2012 157,250246
Gávea Low Vol FIC FIM 26/01/2012 141,694906
Gávea Ações FIC FIA 26/01/2012 149,234976
Gávea Estratégia Ações FIC FIA 26/01/2012 1,577160
Gávea Prev. c/ RV IU FIC FIM 26/01/2012 1,329515
Gávea Prev. s/ RV IU FIC FIM 26/01/2012 1,358656
Gávea Diversificado FIC FIM 26/01/2012 247,805401
Gávea Diversificado II FIC FIM 26/01/2012 153,844429


 

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Gávea Investimentos

Information contained herein refers to the several entities that form the Gávea Investimentos group and/or their relevant products. Gávea Investimentos group does not respond for errors, omissions or imprecision in the information disclosed. Information contained herein is of an exclusively informative nature and should not be construed as a solicitation to acquire shares in any investment fund. To confirm any information, please contact Gávea Investimentos group. Returns obtained in the past are no guarantee of future returns. Investment funds are not secured by the fund manager, the portfolio manager, any insurance instrument or by the Credit Guarantee Fund (Fundo Garantidor de Crédito – FGC). Information is consistent with fund regulations and prospectuses. Prospective investors are advised to read the fund regulations and prospectus carefully before investing.