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Pulse Opportuna Prev

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Jive Pulse Opportuna Prev is an open-ended private pension investment fund offered by JiveMauá that provides versatility to investors. It features a strategy divided into two phases: Phase I, with a duration of 15 months, targets CDI + 2% p.a., and Phase II, with redemptions in 22 business days, targets CDI + 0.5% - 1% per annum.

Its mandate allows for transitions between structured credit in Phase I and liquid credit in Phase II, with allocation to resilient economic sectors and assets originated and developed by JiveMauá's management team. The fund is a private pension alternative for investors seeking consistent returns over the medium and long term.

target audience

Qualified investors

characteristics

Fund

JIVE PULSE OPPORTUNA II PREVIDÊNCIA XP SEG FUNDO DE INVESTIMENTO EM COTAS MULTIMERCADO CRÉDITO PRIVADO RESPONSABILIDADE LIMITADA

CNPJ

53.991.621/0001-40

Manager

JIVE HIGH YIELD GESTÃO DE RECURSOS LTDA.

Administrator

XP INVESTIMENTOS CCTVM S.A.

Custodian

OLIVEIRA TRUST DISTRIBUIDORA DE TÍTULOS E VALORES MOBILIÁRIOS S.A.

Distributor

XP INVESTIMENTOS CCTVM S.A.

Class

Single Class

Classification

FIC FIM CP

ANBIMA Classification

PREVIDÊNCIA MULTIMERCADOS LIVRE

Condominium Type

Open

Minimum Investment

NA

Target Return - Phase 1

CDI + 2.00% p.a. (net to investor)

Target Return - Phase 2

CDI + 0.5% - 1.0% p.a. (net to investor)

Quotation Term for Investment

D+0

Quotation Term for Redemption - Phase 1

D+177 business days

Quotation Term for Redemption - Phase 2

D+22 business days

Lock-up and Redemption Barriers - Phase 1

D+180 calendar days

Lock-up and Redemption Barriers - Phase 2

N/A

Settlement Term for Redemption after Quotation Period

D+2 business days

Performance Fee - Phase 1

15% of amounts exceeding 100% of CDI

Performance Fee - Phase 2

NA

Maximum Management Fee - Phase 1

Monthly amount of R$ 1.250,00

Maximum Management Fee - Phase 2

Monthly amount of R$ 1.250,00

Custody Fee

Monthly amount of R$ 1.250,00

Total Fee - Phase 1

1.50% per annum on net assets

Entry Fee or Exit Fee

No

Distributor Remuneration (Performance Fee)

NA

Allows Division of Illiquid Portion

No

Allows Investment and Redemption in Assets

No

Available

Exclusively for XP Seguradora

SUSEP Plan PGBL

15414.674363/2025-58

SUSEP Plan VGBL

15414.674362/2025-11

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Past performance does not guarantee future returns, and investment funds are not guaranteed by the administering institution, the manager, any insurance mechanism, or by the Credit Guarantee Fund (FGC).