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Brazil - Funds

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Condition

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%

Frequency

Frequency

Delivery Method

Status

 NameSymbolLastChg. %Total AssetsTime
 WESTERN ASSET FUNDO DE INVESTIMENTO AÇÕES BDR NÍVE0P0001.7,695.049-0.17%1.62B28/05 
 WESTERN ASSET PREV IBRX ATIVO AÇÕES FUNDO DE INVES0P0000.2,731.616-0.49%149.38M28/05 
 WESTERN ASSET VALUATION FUNDO DE INVESTIMENTO EM A0P0000.1.520-0.53%50.14M28/05 
 WESTERN ASSET PREV IBRX ALPHA AÇÕES FUNDO DE INVES0P0000.2.104-0.47%28.09M28/05 
 WESTERN ASSET DIVIDEND YIELD FUNDO DE INVESTIMENTO0P0000.2.780-0.59%19.38M28/05 
 WESTERN ASSET AÇÕES DIVIDENDOS FUNDO DE INVESTIMEN0P0000.16.174-0.61%18.33M28/05 
 WESTERN ASSET LONG SHORT FUNDO DE INVESTIMENTO MUL0P0000.5,512.664+0.10%12.84M28/05 
 WESTERN ASSET IBOVESPA ATIVO FUNDO DE INVESTIMENTO0P0000.11,999.152-0.56%7.53M28/05 
 WESTERN ASSET AÇÕES SUSTENTABILIDADE EMPRESARIAL F0P0000.0.331-0.55%5.74M28/05 
 WESTERN ASSET SUSTENTABILIDADE EMPRESARIAL FUNDO D0P0000.1.167-0.53%5.71M28/05 
 WESTERN ASSET AÇÕES IBOVESPA ATIVO STAR FIC FI0P0000.3.134-0.57%5.05M28/05 
 FRANKLIN TEMPLETON GLOBAL PLUS FUNDO DE INVESTIMEN0P0000.3.046-0.00%4.3M28/05 
 WESTERN ASSET SELEÇÃO AÇÕES FUNDO DE INVESTIMENTO 0P0000.1,231.251-0.54%3.8M28/05 
 FRANKLIN GLOBAL PLUS FUNDO DE INVESTIMENTO MULTIME0P0000.3.9820%4.25M28/05 
 WESTERN ASSET AÇÕES IBOVESPA ATIVO SILVER FIC FI0P0000.6.094-0.57%2.54M28/05 
 WESTERN ASSET LONG SHORT TOP FIC FI MULTIMERCADO0P0000.3.413+0.08%1.79M28/05 
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