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Our monthly analysis of market prospects

Fundo com menos de 6 meses de existência – INSTRUÇÃO CVM N.º 555 – Art. 50: Qualquer divulgação de informação sobre os resultados do fundo só pode ser feita, por qualquer meio, após um período de carência de 6 (seis) meses, a partir da data da primeira emissão de cotas.
o IBOVESPA indicado acima é mera referência e não se trata  de meta ou parâmetro de performance para nenhum dos Fundos.

* Fundo de Abertura

Mês de Janeiro 2025

Mês de Dezembro 2024

Mês de Novembro 2024

Mês de Outubro 2024

Mês de Setembro 2024

Mês de Março 2024

Mês de Fevereiro 2024

Mês de Janeiro 2024

Mês de Dezembro 2023

Mês de Novembro 2023

Mês de Outubro 2023

Mês de Setembro 2023

Mês de Agosto 2023

Mês de Julho 2023

Mês de Junho 2023

Mês de Maio 2023

Mês de Abril 2023

Mês de Março 2023

Mês de Fevereiro 2023

September 2022

December 2022

November 2022

October 2022

September 2022

August 2022

June 2022

May 2022

March 2022

March 2022

February 2022

Month of January 2022

November 2021

November 2021

October 2021 month

September 2021

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The tables and other information herein are intended solely for the unitholders and are for information purposes only, they do not represent any investment offer, recommendation, suggestion or analysis. Pursuant to the regulation in effect, for purposes of assessing investment fund performance, an analysis of no less than twelve (12) months is advisable. Returns obtained in the past are no assurance regarding future earnings. Investment Funds are not guaranteed by the fund manager, portfolio manager, any insurance mechanism, or the Credit Guarantee Fund (FGC). Investors must read the investment fund regulation in detail before investing their funds. The return disclosed is not net of taxes. The funds may use derivative strategies as an integral part of their investment policies. These strategies, as adopted, may result in significant losses for the unitholders, and may also give rise to losses exceeding the capital invested and the unitholder’s obligation to contribute additional funds to absorb the funds’ loss. Some of the funds described herein are authorized to invest in financial assets abroad. Equity funds may be exposed to significant concentration in assets from few issuers, including all risks arising therefrom. Ibovespa and US Dollar are mere economic references, not constituting objective benchmarks for the funds disclosed herein. Meraki Capital is not responsible for any investment decisions made based on the materials presented herein. The data, amounts and fees refer to the abovementioned dates and conditions. Meraki Capital reserves the right to change the content of this website without prior, express communication. Pursuant to Law No. 13709/18 – General Data Protection Regulation (GDPR), information that may collected herein will be exclusively used to: (i) identify the contact of a potential investor or existing investor through sending name and email address and/or, if applicable, sending periodic information (e.g.: reports, sending units and other information on the funds and the Manager), and/or, if applicable, sending invitations to in-person and online events;  (ii) no sensitive data will be collected on this website; (iii) data will not be used for commercial purposes and will not be shared with third parties for commercial purposes; (iv) data can be accessed by third parties hired by Meraki Capital for purposes of compliance with legal and regulatory requirements; (v) data sent (name and email) can be deleted from Meraki Capital’s databases, as requested by the owner, subject to the legal and regulatory requirements concerning the maintenance and storage of documents arising from other legal provisions. For further information, please contact our team.

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