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Eldorado Adicional 1.46 ⚡

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

: 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 ELDORADO ADICIONAL 1.46

: Check the specific "D+X" redemption period, as "Adicional" tiers can sometimes have different liquidity terms than "Master" funds. Based on current financial data as of April

Eldorado Adicional 1.46 ⚡

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

: 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

: Check the specific "D+X" redemption period, as "Adicional" tiers can sometimes have different liquidity terms than "Master" funds.