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ASA FIDC 90 II

ícone - Aggressive Aggressive risk
Open for new investments

Portfolio Manager

Fotografia de Carlos Miguel Costa

Carlos Miguel Costa

Head | ASA FIDC

The head of the ASA's credit fund has 35 years of market experience, 17 of them at Banco Safra, where he worked in the commercial and product areas, reaching the head of the Middle Market segment. With passages through BCN and Boston banks, Carlos Miguel has extensive knowledge and experience in the Middle Market segment, occupying leadership positions in these institutions.

Fund's Objective

ASA FIDC 90 II is an investment solution for the Middle and Corporate credit markets. The fund operates on a short time-horizon and aims for 105% return of the CDI (i.e. Brazilian interbank rate) for the senior quota. Leveraging an experienced team that conducts in-depth economic analyses, the fund carefully invests in credit and securities with the aim of generating secure, sustainable returns for investors.

Performance History

  • Fund
  • CDI

Performance ASA FIDC 90 II

Reference Date: 09/08/2026

  Fund CDI % CDI
Day 0,02% 0,05% 41,39%
Month 0,80% 0,26% 307,80%
Year 24,51% 9,61% 255,03%
12 Months 30,44% 14,55% 209,22%
24 Months - - -
36 Months - - -
48 Months - - -
60 Months - - -
Since Inception 48,07% 29,46% 163,14%

Fund's Objective

ASA FIDC 90 II is an investment solution for the Middle and Corporate credit markets. The fund operates on a short time-horizon and aims for 105% return of the CDI (i.e. Brazilian interbank rate) for the senior quota. Leveraging an experienced team that conducts in-depth economic analyses, the fund carefully invests in credit and securities with the aim of generating secure, sustainable returns for investors.

Differentials

O ASA FIDC 90 II has differentiators, some of them listed below.
Be part of the fund managed with ASA's expertise.

  • Team with extensive experience in the corporate credit market, focusing on the middle and large corporate markets.

  • State-of-the-art technological solutions, combined with proprietary tools for selecting, granting, analyzing and controlling the credit portfolio.

  • Asset selection is done through a combination of meticulous credit modeling, high level of governance and efficient collateral control process.

Investment process

ASA FIDC seeks, through operations in the main regions of the country, to scatter its investments, focusing on risks control and opportunities addition, constantly preserving its governance and discipline in the investment process.

Investment process

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CONTENT CENTER

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ASA FIDC is intended for Qualified Investors, as per CVM Resolution 30/21. Verify that the fund’s risk classification matches your investment profile before investing.

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