NAV as of

03/12/2026

YTD LTM Last 2Y Last 3Y Last 5Y Since Inception
Organon 60 FIC FIA
5,98% 32,63% 19,89% 83,46% 180,93% 2.004,03%
Ibovespa
11,27% 44,74% 40,43% 73,02% 57,05% 216,21%

Historical Performance

January February March April May June July August September October November December YTD Since Inception
2026
Organon 60 FIC FIA
12,42% 1,38% -7,01% - - - - - - - - - 5,98% 2.004,03%
Ibovespa
12,56% 4,09% -5,03% - - - - - - - - - 11,27% 216,21%
2025
Organon 60 FIC FIA
5,87% -4,29% 3,98% 8,55% 5,46% 2,84% -5,98% 2,04% 1,06% 1,55% 4,49% 1,54% 29,55% 1.885,26%
Ibovespa
4,86% -2,64% 6,08% 3,69% 1,45% 1,33% -4,17% 6,28% 3,40% 2,26% 6,37% 1,29% 33,95% 184,19%

Fund

Organon 60 FIC FIA

Investment Policy

ORGANON 60 Fundo de Investimento Financeiro em Cotas de Fundos de Investimento em Equities (ORGANON 60 FIC FIA) aims to provide its shareholders, over the medium and long term, with capital appreciation through investments in the equity market.

The Fund invests at least 95 percent of its net assets in units of the Organon Master FIA (the “Master Fund”), registered with the Brazilian tax authority (CNPJ/MF) under No. 38.251.507/0001-90.

Target Investors

The Fund is intended for qualified investors seeking long term returns on their investments.

Risk Factors

The main risk factors of the Fund include price fluctuations and liquidity risks of equities admitted to trading on the cash market of a stock exchange or organized trading venue.

The Fund does not invest in assets classified as private credit.

Service Providers

Administrator: BTG Pactual Serviços Financeiros S.A. DTVM

Asset Manager: Organon Capital Gestão de Investimentos Ltda.

Custodian: Banco BTG Pactual S.A.

Distributors: Banco BTG Pactual S.A, Banco Andbank, C6, Genial, Daycoval, XP

Auditor: Ernst & Young Auditores Independentes

General Information

Data de Início: 10/04/2023*

CNPJ/MF.: 52.242.659/0001-58

ANBIMA Classification: Equity Long Only

Minimum Initial Investment: BRL 10,000.00

Minimum Balance: BRL 5,000.00

Minimum Additional Investment: BRL 1,000.00

Management Fee: 1.80 percent per year, calculated on net assets

Performance Fee: 15 percent of the amount that exceeds IPCA + 5% per year

Taxation: 15 percent on realized gains

Subscriptions: Financial settlement on T+0 and unit pricing on T+1 business day

Redemptions: Unit pricing on T+ 60 calendar days and financial settlement on T+2 business days after the pricing date

*Organon Capital has been responsible for the portfolio management of the Fund since September 24, 2020. Organon 60 FIC FIA resulted from a spin-off of Organon FIC FIA carried out on October 4, 2023. Performance figures up to the spin-off date refer to Organon FIC FIA.

FUND REGULATIONS

Fund regulations and supplementary information.

Monthly report