ITBR SELIC
Índice Teva Tesouro Selic

Treasury

O ITBR SELIC - Índice Teva Tesouro Selic é replicado pelo LFTS11 e traz à bolsa o primeiro ETF de LFTs do mercado brasileiro.

Rolagem automática e eficiente dos títulos.

Last quotation
257,37
+ 0,05%
Return Last 30 D
1,17%
Return Last 3 M
3,54%
Return Last 12 M
14,94%
Last month flowR$ -559.001.952,76

Index quotation

Index history

Monthly Returns

JanFebMarAprMayJunJulAugSepOctNovDecYear
20261,2%1,0%1,3%1,1%1,1%1,1%1,2%0,4%8,7%
DI1,2%1,0%1,2%1,1%1,1%1,1%1,2%0,4%8,6%
% DI100,2%100,9%105,8%100,3%102,4%100,5%101,0%101,7%101,7%
20251,2%1,0%1,0%1,0%1,2%1,1%1,3%1,2%1,2%1,3%1,1%1,2%14,6%
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%
% DI110,3%100,4%101,2%98,0%103,6%101,0%102,5%101,2%101,8%102,5%99,8%102,8%102,3%
20241,0%0,8%0,9%0,9%0,8%0,8%0,9%0,9%0,9%1,0%0,8%0,8%11,2%
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%
% DI103,3%100,3%107,9%100,8%101,1%101,2%104,2%104,2%106,4%106,5%106,5%92,0%103,0%

Exposure by Maturity

Data do rebalanceamento: 03/08/2026

Assets

Assets% of portfolio at rebalanceChart
LFT 01/03/202911,94%
LFT 01/09/202811,24%
LFT 01/09/202910,84%
LFT 01/06/20329,16%
LFT 01/03/20308,93%
LFT 01/09/20307,27%
LFT 01/03/20317,16%
LFT 01/06/20306,63%
LFT 01/06/20316,33%
LFT 01/03/20325,86%
Assets% of portfolio at rebalanceChart
LFT 01/09/20315,37%
LFT 01/12/20304,83%
LFT 01/12/20314,44%
Data do rebalanceamento: 03/08/2026

Risk/Return Metrics

Year to dateLast 12 monthsLast 24 monthsLast 36 monthsSince inception
Return8,75%14,94%29,90%44,90%157,37%
Sharpe Ratio4,452,121,741,700,40
Standard Deviation0,07%0,16%0,21%0,20%0,46%
Reference date: 11/08/2026

Other Metrics

Turnover (LTM)52,7%
Number of assets13
Reference date: 11/08/2026

Exposure by Indexer

Caixa0,00%
Selic100,00%

Documents

* Under RFB Normative Instruction No. 1585 of August 31, 2015, fixed income ETFs are taxed according to the portfolio's average repricing term. To check the tax treatment of any ETF, please review the documents available on the fund's page.

No information on this page constitutes an offer or a recommendation to buy, sell or hold any financial instrument or to use any trading platform. Furthermore, no information relating to indices or any other information made available constitutes any kind of financial advice or analysis. Neither Teva Indices nor its related companies, nor any employee or partner of those companies, bears any liability for losses or damages incurred by the user as a result of any information contained on this page.

Info

  • Ticker
    LFTS11
  • Asset class
    Treasury
  • Segment
    Selic-Linked
  • Inception
    02/05/2016
  • Bloomberg Ticker
    TEVALFTS Index
  • Isin
    BRLFTSCTF006

Metrics

  • Index closing value (points)
    257,37
  • Daily index change (points)
    0,14
  • Daily index change (%)
    +0,05%
  • Year-to-date return (%)
    8,75%
  • 12-month return (%)
    14,94%
  • Yield (%)
    13,97%
  • Duration (years)
    0,00
  • All-time high
    257,37
  • All-time low
    100,00
  • Ticker
    LFTS11
  • Share closing price (R$)
    R$ 157,83
  • Daily price change (R$)
    R$ 0,06
  • Daily price change (%)
    0,04%
  • Premium / Discount (%)
    0,05%
  • Net Assets
    R$ 2.308.650.943,33
  • Average daily trading (30d)
    R$ 56.352.695,40
  • Fund CNPJ
    45.823.821/0001-66
  • Fund website
  • Number of shareholders
    17.651
  • Management fee
    0,19%