
Vinci Compass Investments (VINP) Stock
Listed Brazilian investment company for private equity and infrastructure. Here's the price, business snapshot, and what's worth knowing about Vinci Compass Investments in August 2026.
VINCI Partners Investments-A (VINP) is an investment vehicle offering exposure to strategies managed by Vinci Partners, a Brazil-focused asset manager. With a market capitalisation around $703.3 million, VINP is typically of interest to investors seeking access to alternative asset classes and emerging-market growth through a listed vehicle. Key considerations include exposure to Brazilian markets and currencies, strategy concentration in private equity, infrastructure and credit, and the effect of management fees and carried interest on returns. As a listed investment company, VINP’s share price can diverge from the underlying value of its holdings and may be influenced by liquidity, investor sentiment and macroeconomic swings. Past performance is not indicative of future returns — values can rise and fall and capital is at risk. This overview is educational and not personalised financial advice; investors should review company filings, understand fee structures, and consider how the stock fits their risk profile before investing.
Sixth Month Growth Performance
Stock Performance Snapshot
Analyst Rating
Analysts recommend buying VINCI Partners Investments-A's stock, predicting it will rise in value.
Financial Health
VINCI Partners is showing good profits and cash flow, indicating solid financial performance.
Dividend
VINCI PARTNERS INVESTMENTS-A offers a high dividend yield of 6.49%, making it appealing for income-focused investors. If you invested $1000, you would be paid $64.90 a year in dividends (based on the last 12 months).
Why You’ll Want to Watch This Stock
Alternatives Exposure
Gives listed access to private equity, infrastructure and credit strategies, though performance can vary and underlying assets may be less liquid.
Emerging‑Market Sensitivity
Significant exposure to Brazilian markets and currency movements can drive returns and volatility; consider macro and FX risk.
Fee And Liquidity Factors
Management fees, carried interest and the potential gap between NAV and share price matter; check filings to understand cost and liquidity implications.
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