Fundo De Investimento Imobiliario Ourinvest Re I(WTSP11B) BRL 34.89
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20232.66%BRL 0.927BRL0.232023-03-14
BRL0.22023-02-14
BRL0.49652023-01-13
20223.64%BRL 1.269BRL0.317352022-04-15
BRL0.317352022-04-14
BRL0.317352022-03-16
BRL0.317352022-03-15
202117.62%BRL 6.149BRL0.484182021-12-15
BRL0.484182021-12-14
BRL0.401022021-11-13
BRL0.401022021-11-12
BRL0.364712021-10-16
BRL0.364712021-10-15
BRL0.353112021-09-16
BRL0.353112021-09-15
BRL0.293422021-08-14
BRL0.293422021-08-13
BRL0.253942021-07-15
BRL0.253942021-07-14
BRL0.223042021-06-16
BRL0.223042021-06-15
BRL0.171432021-05-15
BRL0.171432021-05-14
BRL0.16592021-04-16
BRL0.16592021-04-15
BRL0.110992021-03-13
BRL0.110992021-03-12
BRL0.123332021-02-13
BRL0.123332021-02-12
BRL0.12952021-01-16
BRL0.12952021-01-15
202013.91%BRL 4.854BRL0.12952020-12-15
BRL0.12952020-12-14
BRL0.12952020-11-17
BRL0.12952020-11-16
BRL0.12952020-10-16
BRL0.12952020-10-15
BRL0.131912020-09-16
BRL0.131912020-09-15
BRL0.160342020-08-15
BRL0.160342020-08-14
BRL0.175182020-07-15
BRL0.175182020-07-14
BRL0.194552020-06-16
BRL0.194552020-06-15
BRL0.235082020-05-16
BRL0.235082020-05-15
BRL0.279182020-04-16
BRL0.279182020-04-15
BRL0.242352020-03-14
BRL0.242352020-03-13
BRL0.310762020-02-15
BRL0.310762020-02-14
BRL0.309172020-01-16
BRL0.309172020-01-15
201928.01%BRL 9.773BRL0.313862019-12-14
BRL0.313862019-12-13
BRL0.395462019-11-15
BRL0.395462019-11-14
BRL0.382672019-10-15
BRL0.382672019-10-14
BRL0.4142019-09-14
BRL0.4142019-09-13
BRL0.468532019-08-15
BRL0.468532019-08-14
BRL0.386842019-07-13
BRL0.386842019-07-12
BRL0.44812019-06-15
BRL0.44812019-06-14
BRL0.427682019-05-16
BRL0.427682019-05-15
BRL0.386842019-04-13
BRL0.386842019-04-12
BRL0.407262019-03-15
BRL0.407262019-03-14
BRL0.44812019-02-15
BRL0.44812019-02-14
BRL0.407262019-01-16
BRL0.407262019-01-15
20189.80%BRL 3.419BRL0.407262018-12-15
BRL0.407262018-12-14
BRL0.427682018-11-13
BRL0.427682018-11-12
BRL0.406642018-10-16
BRL0.406642018-10-15
BRL0.467832018-09-15
BRL0.467832018-09-14