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Para conhecer a rela&ccedil;&atilde;o completa e encargos prevista, consulte o Regulamento do XRPH11, na se&ccedil;&atilde;o Encargos.\u003C/p>",{"__typename":1614,"data":1632},{"__typename":1616,"attributes":1633},{"__typename":1618,"Name":1619},{"__typename":1608,"attributes":1635},{"__typename":1610,"Question":1636,"Answer":1637,"faq_category":1638},"Se houver demanda, o fundo pode crescer?","\u003Cp>Sim. Diferentemente de fundos fechados, os ETFs podem continuar a emitir cotas indefinidamente, desde que haja liquidez de seus ativos subjacentes. Por buscar replicar o NQXRP, o tamanho m&aacute;ximo do XRPH11 &eacute; definido pela liquidez de XRP. Havendo demanda de investidores e liquidez em tal mercado, o XRPH11 pode continuar a crescer ap&oacute;s a primeira emiss&atilde;o de cotas.\u003C/p>",{"__typename":1614,"data":1639},{"__typename":1616,"attributes":1640},{"__typename":1618,"Name":1619},{"__typename":1608,"attributes":1642},{"__typename":1610,"Question":1643,"Answer":1644,"faq_category":1645},"Como é a tributação do XRPH11?","\u003Cp>De maneira geral, 15% de IR sobre o ganho de capital para aliena&ccedil;&atilde;o de cotas no mercado secund&aacute;rio. N&atilde;o h&aacute; IOF e come-cotas. 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- Hashdex Nasdaq XRP FI","https://hashdex.com/_nuxt/img/ogimage-hashdex.84ad9b0.png","Hashdex Nasdaq XRP FI",{"name":2832,"currency":21,"description":2834,"fundStartDate":2835,"productsOverview":2836,"clientAvailability":2837},"XRPH11 replica o Nasdaq XRP Reference Price Index","2021-08-03",{"title":22,"description":2832},"Público Geral",{},{"title":2840},"Sobre o Produto",{"fee":2842,"product":22,"subtitle":2843,"disclaimer":2844,"titleMobile":2832,"showValueNav":2845,"titleDesktop":2832,"quotasAndFees":2846,"feeDescription":2851},"0,1%*","A forma eficiente de investir no token que conecta instituições financeiras globais.","Antes de qualquer investimento, o investidor deve ler atentamente as informações constantes nos documentos a seguir, especialmente o Regulamento e os Fatores de Risco, bem como a instrução CVM nº175",true,{"show":2845,"cotas":2847,"taxes":2850},{"title":2848,"value":2849},"Cota intradiária","[=]",{"title":2851,"value":2851,"message":2851},"",{"invest":2853,"details":2864,"documents":2915,"indicators":2928,"objectives":2941,"methodology":2946,"aboutTheFund":2947,"showStakingBanner":2858},{"title":2854,"subtitle":2855,"disclaimer":2851,"description":2856,"startInvesting":2857},"Por que investir?","Como a internet na década de 1990, \u003Cspan class='text-conf-blue'>a tecnologia blockchain tem o potencial de transformar economias\u003C/span>, negócios e muitas de nossas interações com o mundo.","Ao contrário do desenvolvimento da internet, hoje qualquer investidor pode se beneficiar com a ascensão da economia criptográfica. O potencial tecnológico das blockchains tende a se refletir, no longo prazo, no valor dos criptoativos - uma classe de investimento com histórico de altos retornos, disponível para todos os investidores com perfil adequado.",{"buttonUrl":2858,"buttonText":2859,"paragraphs":2860,"accessDocumentsText":2863},false,"Procure seu assessor de investimento",[2861,2862],"Agora você pode começar a investir em cripto de forma simples, segura e regulada.","Nossos produtos estão disponíveis na B3 e nas principais plataformas de investimento.","Acesse os documentos para consultar o Regulamento e Fatores de Risco do Fundo.",{"items":2865,"title":2914},[2866,2873,2898],{"title":2867,"content":2868},"Índice",[2869,2870],{"prop":2867,"value":1654},{"prop":2871,"value":2872},"Taxação","De maneira geral, são aplicadas alíquotas de 15% sobre o ganho de capital do investidor com a operação. Mais informações sobre a tributação podem ser encontradas na aba “Taxas e Tributação” deste site.",{"title":2874,"content":2875,"informativeText":2851},"Características",[2876,2879,2882,2885,2887,2889,2892,2895],{"prop":2877,"value":2878},"Benchmark","Nasdaq XRP Reference Price Index (“NQXRP”)",{"prop":2880,"value":2881},"Taxa Máxima Global","0.7% a.a.",{"prop":2883,"value":2884},"Moeda","R$",{"prop":2886,"value":23},"Código ISIN da cota",{"prop":2888,"value":22},"Código de negociação",{"prop":2890,"value":2891},"CNPJ","58.430.507/0001-65",{"prop":2893,"value":2894},"Patrimônio Líquido","R$ ${nav | number(locale)}",{"prop":2896,"value":2897},"Taxa Máxima de Custódia","0.10% a.a.",{"title":2899,"content":2900,"informativeText":2913},"Prestadores de serviços",[2901,2904,2907,2910],{"prop":2902,"value":2903},"Administrador","Genial Investimentos Corretora de Valores Mobiliários S.A.\u003Csup>1\u003C/sup>",{"prop":2905,"value":2906},"Custodiante","Banco Genial S.A.",{"prop":2908,"value":2909},"Gestor","Hashdex Gestora de Recursos Ltda.\u003Cbr />Para mais informações, acesse a seção 'Sobre nós' e 'Contato'.",{"prop":2911,"value":2912},"Formador de Mercado","Banco BTG Pactual SA","\u003Csup>1\u003C/sup>\u003Cspan class='text-xs'> Como parte do Grupo Genial, a Genial Investimentos Corretora de Valores Mobiliários S.A. oferece soluções completas para a administração de recursos de terceiros. \u003Cbr>Contato: (21) 3923-3000 \u003Cbr>E-mail: atendimentocvm.banco@genial.com.vc\u003C/span>\u003Cbr>\u003Cbr>\u003Cstrong>Clique \u003Ca href='https://cvmweb.cvm.gov.br/SWB/default.asp?sg_sistema=fundosreg' style='text-decoration: underline;'>aqui\u003C/a> para entrar no site da CVM e confirmar que este é um fundo cadastrado.\u003C/strong>\u003Cbr />Telefone para contato da CVM: 0800 025 9666 ou (21) 3554-8557.\u003Cbr />Para contato eletrônico com a CVM, acesse \u003Ca href='https://cvmweb.cvm.gov.br/swb/default.asp?sg_sistema=sac' style='text-decoration: underline;'>https://cvmweb.cvm.gov.br/swb/default.asp?sg_sistema=sac\u003C/a>","Detalhes do produto",{"files":2916,"hidden":2845,"accessDocumentsText":2927},[2917,2921],{"text":2918,"downloadUrl":2919,"downloadText":2920},"The investment case for crypto","/","The Investment Case for Crypto",{"text":2922,"colorText":2923,"downloadUrl":2924,"downloadText":2925,"backgroundImageUrl":2926},"Fact Sheet","text-soph-blue","https://hdx-prd-web-cms-upload-bucket.s3.amazonaws.com/2021_04_22_Regulamento_vf_e51a0bcc84_1df07d7ec0.pdf","BITH11 - Fact Sheet","https://hdx-prd-web-cms-upload-bucket.s3.amazonaws.com/light_beams_from_cloud_david_n_davis_50b6f7dbdc.jpg","Acesse todos os documentos relativos ao XRPH11",{"title":2929,"hidden":2845,"values":2930},"Principais indicadores da \u003Cstrong>Hashdex\u003C/strong>",[2931,2935,2938],{"date":2932,"title":2933,"subtitle":2934},"Atualizado em 6 Jul, 2023","+2,1 BI","de Reais sob gestão (AUM)",{"date":2932,"title":2936,"subtitle":2937},"210K+","Investidores",{"title":2939,"subtitle":2940},"#1","Gestora de criptoativos na América Latina",{"items":2942,"hidden":2858,"principal":2945},[2943,2944],"Para atingir seu objetivo, o fundo investirá no mínimo 95% de seu patrimônio em XRP, por meio do investimento direto em XRP e/ou indireto, por meio da aquisição de contratos futuros que busquem melhor replicar a rentabilidade do Índice e/ou de valores mobiliários emitidos por veículos de investimento que tenham como objetivo refletir os resultados e performance do Nasdaq XRP Reference Price Index.","O fundo é destinado a investidores em geral que aceitem os riscos inerentes ao investimento e busquem rentabilidade condizente com o objetivo do fundo. Caso o investimento no fundo seja realizado por investidor não residente, o investidor não residente deverá avaliar a adequação da aquisição das cotas do fundo à legislação aplicável em sua jurisdição.","O fundo objetiva refletir, antes da incidência das taxas e despesas, as variações e rentabilidade do Nasdaq XRP Reference Price Index (“NQXRP”).",{"hidden":2845},{"link":2948,"title":2834,"hidden":2858,"sector":2951,"typeText":1575,"description":2952},{"url":2949,"text":2950},"/products/xrph11/documents","Acesse a documentação para consultar o regulamento e os fatores de risco do produto.","Exposição a \u003Cstrong>ETF Monoativo\u003C/strong>","XRP é um criptoativo reconhecido no mercado, utilizado para facilitar transferências internacionais rápidas, seguras e de baixo custo. Como token nativo da rede blockchain descentralizada XRP Ledger, o XRP desempenha um papel crucial na modernização do sistema financeiro global, conectando bancos e instituições financeiras em diversos países. Além de sua eficiência em pagamentos transfronteiriços, o XRP está à frente em iniciativas para integrar soluções de blockchain ao sistema bancário tradicional, posicionando-se como uma evolução do sistema SWIFT. O ETF XRPH11 oferece aos investidores uma forma regulada de exposição a esse ativo estratégico, permitindo participação direta no futuro das finanças globais e da tecnologia blockchain.",{"description":2954},"Antes de qualquer investimento, o investidor deve ler atentamente as informações constantes nos documentos a seguir, especialmente o Regulamento e os Fatores de Risco, bem como a instrução CVM nº 175.",{"title":2834,"aboutNasdaq":2956,"subscription":2966},{"title":2957,"download":2958,"subtitle":2961,"description":2962,"partnerLogo":2963},"Nasdaq XRP Reference Price Index",{"url":2959,"label":2960},"https://hdx-website-cms-upload-bucket.s3.us-east-1.amazonaws.com/XRPH_11_Metodologia_Indice_Nasdaq_english_2024_12_23_1_6f9fe3a752_8a131f06ee.pdf","Download da Metodologia","O NQXRP é um índice de referência desenvolvido pela Nasdaq em parceria com a Hashdex.","O Índice aplica uma metodologia de precificação baseada em um conjunto de fontes de preços para indicar o preço final de referência para XRP.",{"alt":2964,"url":2965},"Nasdaq","https://hdx-prd-web-cms-upload-bucket.s3.amazonaws.com/logo_nasdaq_black_537ce07c89.svg","O NQXRP busca refletir a performance de XRP, oferecendo exposição a um segmento inovador e em constante crescimento, tendo em vista que o Índice reflete a variação média no mercado spot do preço de XRP.",{"disclaimer":2968},"Patrimônio Líquido: Média mensal calculada com base na média aritmética da soma do patrimônio líquido apurado no último dia útil de cada mês, dos últimos três anos ou desde a constituição do fundo, se mais recente.",{"items":2970,"shareholders":3029},[2971,2980,3010,3019],{"title":2972,"content":2973},"Negociação de Mercado Secundário",[2974,2977],{"prop":2975,"value":2976},"Valores para Aplicação e Resgate","É possível realizar investimento em lotes a partir de 01 (uma) cota no mercado secundário.",{"prop":2978,"value":2979},"Horário Limite para Aplicação e Resgate","Conforme determinado pela B3.",{"title":2981,"content":2982},"Negociação de Mercado Primário",{"first":2983,"second":2997,"complementation":3009},[2984,2987,2990,2992,2994],{"prop":2985,"value":2986},"Cota de Aplicação","D+0",{"prop":2988,"value":2989},"Ajuste de integralização","D+1",{"prop":2991,"value":2989},"Transferência de cotas ao investidor",{"prop":2993,"value":2986},"Cota de Resgate",{"prop":2995,"value":2996},"Liquidação / Pagamento","D+4",[2998,3000,3003,3006],{"prop":2975,"value":2999},"É possível realizar investimento em lotes ou em múltiplos de lotes mínimos.",{"prop":3001,"value":3002},"Forma de Aplicação e Resgate","O Agente Autorizado pode realizar aplicações e resgates sempre considerando que uma \"cesta de integralização ou resgate\" equivale a um lote mínimo de cotas. As cestas de integralização e resgate são compostas por Valores em moeda corrente nacional a ser entregue por cotistas ou pelo Fundo para fins de integralização ou resgate de um ou mais lotes mínimos de cotas. O arquivo de composição da cesta é divulgado diariamente na página do fundo antes da abertura do pregão da B3.",{"prop":3004,"value":3005},"Horário Limite para Solicitação de Integralização","Até 14 (quatorze) horas (horário de São Paulo). Fundo estará fechado para integralização nos dias em que não houver pregão na B3 ou na bolsa no exterior em que as cotas do Fundo de Índice Estrangeiro são negociadas ou em feriados bancários nos Estados Unidos, ou nos dias de rebalanceamento do índice alvo que ocorre trimestralmente.",{"prop":3007,"value":3008},"Horário Limite para Solicitação de Resgate","Até 13 (treze) horas (horário de São Paulo). O cotista que solicitar o resgate a um Agente Autorizado deverá preencher o formulário \"Solicitação de Resgate de cotistas e declaração de isenção\" que é fornecido pelo Administrador por e-mail. Além disso, o cotista precisa fornecer ao respectivo Agente Autorizado as notas de corretagem e demais documentos necessários para que o Administrador apure o custo de aquisição das cotas a serem resgatadas, devendo tal Agente Autorizado entregar os documentos do cotista ao Administrador pelo menos 2 (duas) horas antes do horário limite para resgate. Caso o Administrador não receba os documentos do cotista dentro deste prazo, a solicitação de resgate em questão será cancelada. Fundo estará fechado para resgate nos dias em que não houver pregão na B3 ou na bolsa no exterior em que as cotas do Fundo de Índice Estrangeiro são negociadas ou em feriados bancários nos Estados Unidos, ou nos dias de rebalanceamento do índice alvo que ocorre trimestralmente.","Os ativos que compõem o fundo não serão objeto de empréstimo de qualquer natureza.",{"title":3011,"content":3012},"Cotistas",[3013,3016],{"prop":3014,"value":3015},"Segmentação de cotistas","Informações calculadas com base nos dados fornecidos pela B3 e Banco Genial S.A.",{"prop":3017,"value":3018},"Maiores Cotistas","Relação dos clientes possuidores de mais de 5% das cotas em mercado.",{"title":3020,"content":3021},"Empréstimo",{"first":3022,"second":3023},[],[3024,3027],{"prop":3025,"value":3026},"A Classe Única poderá realizar operações de empréstimo de valores mobiliários, na forma regulada pela CVM e conforme disposto no Regulamento.","(i) A Classe Única poderá realizar operações de empréstimo de valores mobiliários ao mercado na forma da regulamentação sobre operações de empréstimo de valores mobiliários em vigor, contanto que tenham prazo fixo e todos os valores mobiliários emprestados sejam devolvidos à Classe Única no vencimento do prazo. (ii) O Administrador deverá honrar os pagamentos de pedidos de resgate, bem como atender demais pedidos de empréstimos para fins de Representação Direta, caso não haja valores mobiliários disponíveis em quantidade suficiente, em decorrência de terem sido emprestados ou dados em garantia pela Classe Única e, e não seja possível os reaver em tempo hábil. (iii) As Receitas de Empréstimos serão revertidas integralmente para a Classe Única. Essas receitas serão líquidas de eventuais taxas cobradas nas operações de empréstimos de valores mobiliários da Classe Única.",{"prop":3028},"Para fins de Representação Direta pelos Cotistas, o Administrador deverá providenciar o empréstimo gratuito ao Cotista, isento de cobrança de taxa de aluguel, dos valores mobiliários necessários ao exercício do direito de voto, observada a regulamentação em vigor, promovendo a transferência dos mesmos junto à entidade responsável por sua custódia, mediante caução das cotas de sua propriedade.",{"hidden":2845},{"feesTab":3031,"paymentRedemption":3039},{"rates":3032},{"items":3033,"description":3038},[3034],{"value":3035,"description":3036,"complementationValue":3037},"0,7","Taxa Global","por ano","Além da taxa de administração e gestão paga pelo Fundo aos prestadores de serviços essenciais, existem outras taxas e despesas assumidas pelo Fundo, tais como taxas, impostos ou contribuições federais, estaduais e/ou municipais, honorários dos auditores independentes, entre outras. Para conhecer a relação completa e encargos prevista, consulte o Regulamento do Fundo, seção Encargos.",{"title":3040,"description":3041,"moreDetails":3042},"Taxas de Integralização e Resgate","Na integralização e no resgate de cotas não será cobrada do investidor taxa de ingresso e saída, respectivamente.",[3043,3046],{"title":3044,"description":3045},"Taxa de Ingresso","Taxa, em benefício do Fundo, cobrada do investidor por ocasião da ordem de integralização, calculada pela Gestora, em cada dia útil, segundo fórmula constante da Página do Fundo. A Taxa de Ingresso apurada pela Gestora aplicável a integralizações num determinado dia útil será divulgada pelo Administrador ao final de cada dia útil. A Taxa de Ingresso é destinada a repassar ao investidor custos e despesas incorridas pelo Fundo na aquisição dos ativos que compõem a carteira do Fundo, a fim de evitar prejuízos para os demais Cotistas do Fundo decorrentes da integralização de Cotas do Fundo em moeda corrente nacional. A fórmula da Taxa de Ingresso refletirá as seguintes despesas: (i) diferença positiva ou negativa entre o preço de aquisição dos ativos financeiros do Fundo em relação ao preço utilizado para contabilizar o valor do correspondente ativo no cálculo do valor da Cota, nos termos deste Regulamento, inclusive a diferença relativa às taxas de câmbio da negociação e do cálculo da Cota, (ii) despesas com o fechamento de câmbio para remessa de recursos ao exterior para aquisição de ativos pelo Fundo, (iii) despesas de negociação para aquisição de ativos no mercado estrangeiro pelo Fundo, tais como emolumentos e corretagens, (iv) eventuais despesas referentes a taxas de ingresso cobradas pelo Ativo Alvo, e (v) eventuais tributos incidentes sobre a remessa de recursos ao exterior ou aquisição dos ativos.",{"title":3047,"description":3048},"Taxa de Saída","Taxa, em benefício do Fundo, cobrada do Cotista por ocasião da ordem de resgate, calculada pela Gestora, em cada dia útil, segundo fórmula constante da Página do Fundo. A Taxa de Saída apurada pela Gestora aplicável aos resgates num determinado dia útil será divulgada pelo Administrador ao final de cada dia útil. A Taxa de Saída é destinada a repassar ao Cotista os custos e despesas relacionadas à venda dos ativos pelo Fundo para o pagamento do resgate de Cotas, a fim de evitar prejuízos para os demais cotistas do Fundo decorrentes de tal resgate em moeda corrente nacional. 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