ITBR
Índice Teva Tesouro

Treasury

O ITBR - Índice Teva Tesouro acompanha, com precisão, a remuneração dos títulos do Tesouro Nacional.

Com uma composição de LFTs, NTN-Bs, LTNs e NTN-Fs, com rebalanceamento mensal o índice oferece acesso amplo, instantâneo e diversificado a títulos do governo.

O ITBR - Índice Teva Tesouro permite que investidores fiquem sempre alocados em títulos públicos de diferentes prazos, sem que tenham que se preocupar com vencimentos ou distribuições, pois são reinvestidos automaticamente.

Last quotation
264,58
+ 0,02%
Return Last 30 D
0,88%
Return Last 3 M
2,40%
Return Last 12 M
12,77%
Last month flow-

Index quotation

Index history

Monthly Returns

JanFebMarAprMayJunJulAugSepOctNovDecYear
20261,4%1,2%0,5%1,3%0,8%0,4%1,1%0,4%7,4%
DI1,2%1,0%1,2%1,1%1,1%1,1%1,2%0,4%8,6%
% DI113,5%122,8%43,0%123,0%71,8%37,5%88,8%110,4%85,7%
20251,2%1,0%1,0%1,8%1,6%0,9%0,8%1,2%1,0%1,1%1,6%0,6%14,7%
DI1,1%1,0%1,0%1,1%1,1%1,1%1,3%1,2%1,2%1,3%1,1%1,2%14,3%
% DI109,9%105,0%107,8%166,5%137,2%83,1%65,8%99,9%85,3%85,3%151,5%55,8%103,1%
20240,5%0,7%0,6%0,0%0,6%0,3%1,0%1,0%0,3%0,2%0,3%-0,7%5,0%
DI1,0%0,8%0,8%0,9%0,8%0,8%0,9%0,9%0,8%0,9%0,8%0,9%10,9%
% DI47,2%84,0%69,9%1,8%73,5%37,3%114,3%118,8%35,6%23,1%43,3%45,9%

Exposure by Maturity

Data do rebalanceamento: 03/08/2026

Top 15

Assets% of portfolio at rebalanceChart
LFT 01/03/20276,91%
LFT 01/09/20275,95%
LFT 01/03/20294,41%
LFT 01/09/20284,15%
LFT 01/03/20284,11%
LFT 01/09/20294,00%
LFT 01/06/20323,38%
NTN-B 15/05/20353,33%
LFT 01/03/20303,30%
NTN-B 15/08/20503,01%
Assets% of portfolio at rebalanceChart
NTN-B 15/08/20282,85%
NTN-B 15/08/20302,80%
LFT 01/09/20302,69%
LFT 01/03/20312,64%
NTN-F 01/01/20312,50%
Data do rebalanceamento: 03/08/2026

Risk/Return Metrics

Year to dateLast 12 monthsLast 24 monthsLast 36 monthsSince inception
Return7,37%12,77%23,74%34,33%164,58%
Sharpe Ratio-0,90-0,95-1,35-1,510,21
Standard Deviation2,28%1,98%1,82%1,70%2,22%
Reference date: 11/08/2026

Other Metrics

Turnover (LTM)34,2%
Number of assets47
Reference date: 11/08/2026

Exposure by Indexer

Caixa0,00%
IPCA24,98%
Pré-fixado21,06%
Selic53,95%

Documents

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Info

  • Asset class
    Treasury
  • Segment
    Broad
  • Inception
    02/05/2016

Metrics

  • Index closing value (points)
    264,58
  • Daily index change (points)
    0,06
  • Daily index change (%)
    +0,02%
  • Year-to-date return (%)
    7,37%
  • 12-month return (%)
    12,77%
  • Yield (%)
    13,69%
  • Duration (years)
    2,28
  • All-time high
    264,62
  • All-time low
    100,00