|FUNDS||DATE START||DATE QUOTA||QUOTA||MONTH||YEAR||12 MONTHS||24 MONTHS||36 MONTHS||START||PATRIMONY|
|HIX INSTITUCIONAL FIA||03/11/2015||31/01/2018||1,704227||2,70%||4,30%||35,65%||86,73%||----||79,91%||Lâmina||Regulamento|
|* Recursos Administrados pela HIX Investimentos na estratégia de Ações.|
Rua Iguatemi, 192 cj. 113/114
São Paulo - SP
tel: + 55 11 3074. 3537
“Illustrations, indicative values and further information provided herein are for informational purposes only and should not be construed as an advertisement with respect to the purchase or sale of shares of any investment fund. No information provided herein constitutes a solicitation, offer or recommendation to buy or sell shares of any investment fund managed or sponsored by HIX Capital nor should it be construed as such in any jurisdiction where such a solicitation, offer or recommendation would be illegal. None of the information contained herein replaces information in the relevant offering document and further constitutive documents, together with the current financial statements of the relevant fund. All information provided herein is subject to change without notice. Although collected from reliable and selected sources, HIX Capital, its affiliates, directors, officers or employees neither vouch for the accuracy, precision, adequacy or veracity of the information provided herein nor ensure that it is updated. Investors should not follow information presented on this website without professional guidance. INVESTMENT FUNDS’ PERFORMANCE IS NOT GUARANTEED BY THE FUND’S SERVICE PROVIDERS, HIX CAPITAL, THE BRAZILIAN CREDIT GUARANTOR FUND – FGC OR ANY OTHER INSURANCE MECHANISMS WHATSOEVER. Pursuant to the regulations of Brazilian Financial and Capital Markets Entities Association - ANBIMA, an analysis of at least 12 (twelve) months is recommended when evaluating investment fund’s performance. PAST PERFORMANCE OF A FUND IS NO GUARANTEE AS TO ITS PERFORMANCE IN THE FUTURE. No representation is made that any transaction can be effected at the values provided herein. Any offering is made only pursuant to the relevant offering document and further constitutive documents, together with the current financial statements of the relevant fund, if available, and the relevant subscription application, all of which must be read in their entirety. No offer to purchase securities will be made or accepted prior to receipt of those documentation and the completion of all appropriate documentation. THE VALUE OF INVESTMENTS MAY FALL AS WELL AS RISE, INVESTORS MAY NOT GET BACK THE AMOUNT OF MONEY INVESTED AND CURRENCY MOVEMENTS MAY HAVE A NEGATIVE AS WELL AS POSITIVE INFLUENCE ON RETURNS. BEFORE MAKING AN INVESTMENT DECISION, PLEASE READ THE RELEVANT OFFERING DOCUMENT, THE FUND’S RULES AND OTHER OFFERING MATERIALS IN THEIR ENTIRETY. The investment funds herein mentioned may invest in derivative instruments as a part or their investment strategies. Such strategies may result in significant losses for the investors including losses that might exceed the invested capital, obliging the investor to apply additional resources to cover fund’s losses.