Fundo Investimento Imobiliario Green Towers(GTWR11) BRL 77.95
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20233.04%BRL 2.37BRL0.792023-03-31
BRL0.792023-02-28
BRL0.792023-01-31
202222.91%BRL 17.86BRL0.792022-12-30
BRL0.792022-12-29
BRL0.742022-12-01
BRL0.742022-11-30
BRL0.742022-11-01
BRL0.742022-10-31
BRL0.742022-10-01
BRL0.742022-09-30
BRL0.742022-09-01
BRL0.742022-08-31
BRL0.742022-07-30
BRL0.742022-07-29
BRL0.742022-07-01
BRL0.742022-06-30
BRL0.742022-06-01
BRL0.742022-05-31
BRL0.742022-04-30
BRL0.742022-04-29
BRL0.742022-04-01
BRL0.742022-03-31
BRL0.742022-02-26
BRL0.742022-02-25
BRL0.742022-02-01
BRL0.742022-01-31
202120.85%BRL 16.255BRL0.742021-12-31
BRL0.742021-12-30
BRL0.672021-12-01
BRL0.672021-11-30
BRL0.672021-10-30
BRL0.672021-10-29
BRL0.672021-10-01
BRL0.672021-09-30
BRL0.672021-09-01
BRL0.672021-08-31
BRL0.672021-07-31
BRL0.672021-07-30
BRL0.672021-07-01
BRL0.672021-06-30
BRL0.672021-06-01
BRL0.672021-05-31
BRL0.672021-05-01
BRL0.672021-04-30
BRL0.672021-04-01
BRL0.672021-03-31
BRL0.672021-02-27
BRL0.672021-02-26
BRL0.687682021-01-30
BRL0.687682021-01-29
202021.17%BRL 16.504BRL0.687682020-12-31
BRL0.687682020-12-30
BRL0.687682020-12-01
BRL0.687682020-11-30
BRL0.687682020-10-31
BRL0.687682020-10-30
BRL0.687682020-10-01
BRL0.687682020-09-30
BRL0.687682020-09-01
BRL0.687682020-08-31
BRL0.687682020-08-01
BRL0.687682020-07-31
BRL0.687682020-07-01
BRL0.687682020-06-30
BRL0.687682020-05-30
BRL0.687682020-05-29
BRL0.687682020-05-01
BRL0.687682020-04-30
BRL0.687682020-04-01
BRL0.687682020-03-31
BRL0.687682020-02-29
BRL0.687682020-02-28
BRL0.687682020-02-01
BRL0.687682020-01-31
201910.32%BRL 8.042BRL0.687682019-12-31
BRL0.687682019-12-30
BRL0.666672019-11-30
BRL0.666672019-11-29
BRL0.666672019-11-01
BRL0.666672019-10-31
BRL0.666672019-10-01
BRL0.666672019-09-30
BRL0.666672019-08-31
BRL0.666672019-08-30
BRL0.666672019-08-01
BRL0.666672019-07-31