Among ANBIMA classes, fixed income had the lion’s share with net inflows of BRL 24.8 billion, while two short-duration sovereign funds led the moves.
Brazilian fund industry raises BRL 23 billion in April and reaches 70% of 2020 balance
The fund industry raised BRL 23.3 billion (USD 4.3 billion) in April, bringing net year-to-date flows to BRL 124.1 billion (USD 20 billion), already accounting for 70% of the 2020's net gain.
Mexican Mutual Fund Industry Net New Investments (NNI) Report – March 2021
Excel workbook detailing net new investments (NNI) of all locally registered Mexican mutual funds, asset managers and industry sectors. Also includes monthly and year to date NNI data by asset class, region, sector and manager by sector. Data as of March 31, 2021.
Companies mentioned in this report: BBVA, BlackRock, Santander, Banorte – Ixe, Actinver, Scotia, HSBC, Inbursa, GBM, Sura IM, Valmex, Vector, Nafinsa, Principal, Franklin Templeton, Invex, Monex, Skandia, Finaccess, Compass, Intercam, Multivalores, Value, CI Fondos, Azimut, BNP Paribas, Mifel, Valores Afirme, Axa, BTG Pactual.
Argentine Mutual Fund Industry Net New Investments (NNI) Report – March 2021
Excel workbook detailing net new investments (NNI) of all locally registered Argentine mutual funds, asset managers and industry sectors. Also includes monthly and year to date NNI data by asset class, region, sector and manager by sector. Data as of March 31, 2021.
Companies mentioned in this report: Galicia, Santander Río, Pellegrini, BBVA Francés, Schroders, HSBC Adm. de Inversiones, ICBC Bank, Provinfondos, Delta, Investis, Macro, Itaú, Consultatio, Patagonia, Allaria Ledesma, Balanz, SBS Fondos, Stone X, Megainver, Industrial, Supervielle, Quinquela, Argenfunds, BNP Paribas, Southern Trust, Galileo Argentina, Proahorro, Mariva, BACS, Adcap, Grupo SS, Bancor Fondos, Tavelli, CMF, Cohen, IEB Fondos, Cima, Zofingen, Axis, First Capital Markets, Moneda, Nuevo Chaco Fondos, Bull Market, Capital Markets Argentina, CYC, Deal, Valiant Fondos, Quiron, Aires Capital, Mercofond, Adm. de Titulos y Valores, Tutelar Bursatil, Intervalores, GIO Bursatil, Bayfe.
Chilean Mutual Fund Industry Net New Investments (NNI) Report – March 2021
Excel workbook detailing net new investments (NNI) of all locally registered Chilean mutual funds, asset managers and industry sectors. Also includes monthly and year to date NNI data by asset class, region, sector and manager by sector. Data as of March 31, 2021.
Companies mentioned in this report: Ameris; Banchile; BancoEstado; Banco Internacional; Bci; BGT Pactual; Celfin; Compass; CorpBanca; Cruz del Sur; Focus; Itaú; LarrainVial; Nevasa HMC; Principal; Santander; Scotiabank; Security; Sura; Toesca; Vision Advisors; Zurich.
Peruvian Mutual Fund Industry Net New Investments (NNI) Report – March 2021
Excel workbook detailing net new investments (NNI) of all locally registered Peruvian mutual funds, asset managers and industry sectors. Also includes monthly and year to date NNI data by asset class, region, sector and manager by sector. Data as of March 31, 2021.
Companies mentioned in this report: Scotia Perú, Credifondo, BBVA Fondos Continental, Sura, Interfondo, BTG Pactual, Faro, Independiente, El Dorado, Diviso Fondos, BD Capital, Promoinvest.
Brazilian equity and fixed-income funds drive flow growth in March
The Brazilian fund industry had capital inflows of USD 7 billion in the period.
Brazilian mutual funds in February reversed poor 2021 kickoff
After a negative start in January, the industry grew by roughly USD 6 billion in the first two months of 2021.
Brazilian fund industry off to slow start due to equity-product redemptions
The Equity class saw outflows of BRL 40.5 billion, driven by net redemptions concentrated in a few funds, but not reflecting a general trend in the category.
Mexican Mutual Fund Industry Net New Investments (NNI) Report – December 2020
Excel workbook detailing net new investments (NNI) of all locally registered Mexican mutual funds, asset managers and industry sectors. Also includes monthly and year to date NNI data by asset class, region, sector and manager by sector. Data as of December 31, 2020.
Companies mentioned in this report: Compass; Sura IM; CI Fondos; Templeton; BNP Paribas; Mifel; Valores Afirme; Principal; Value; Finacces; Multivalores; Invex; Old Mutual; Intercam; Nafinsa; HSBC; Inbursa; Vector; Valmex; GBM; Monex; Actinver; Interacciones; Scotia; Banorte – Ixe; BBVA Bancomer; Santander; BlackRock; Azimut; BTG Pactual.