Eldorado Adicional 1.46 ❲2026 Release❳

This is the standard pricing for internal "Adicional" or supplemental investment tiers within larger portfolios.

Based on current financial data as of April 29, 2026, refers to a specific share class or fund series, often associated with Brazilian investment structures. The figure 1.46 typically represents the Net Asset Value (NAV) or "Cota" price per share on a specific reporting date . Financial Performance Summary Asset Type : Investment Fund (Fundo de Investimento). Unit Value (Cota) : 1.46. Primary Market : Brazil (B3 / CVM regulated). Currency : Brazilian Real (BRL). Core Data Points ELDORADO ADICIONAL 1.46

: The 1.46 value indicates the price of a single unit of the fund. This is the standard pricing for internal "Adicional"

: Subject to standard Brazilian "Come-cotas" (semi-annual tax) if classified as a Multimercado or Fixed Income fund. Financial Performance Summary Asset Type : Investment Fund

: Typically aligns with the parent "Eldorado" strategy, which historically focuses on corporate credit or diversified fixed income.

: A value of 1.46 often follows a period of steady accrual or a recent distribution/split, depending on the fund's inception price (usually starting at 1.00 or 10.00). Key Investor Considerations

We use cookies in order to give you the best possible experience on our website. By continuing to use this site, you agree to our use of cookies.
Accept