Paper FII managed by Suno Asset that invests mostly in CRIs related to incorporation, energy and corporate sectors in states such as SP, MG and SC, with debtors such as MRV, Gafisa, AXS Energia and Opy Health. The core risk is credit: part of the portfolio defaults in mergers in Itu/SP and Teresina/PI. The difference lies in the middle-risk profile, the linearization of monthly income via profit reserve and the absence of a performance fee.