Fundo Invest Imobiliario General Shopping Ativo Renda FII

FIGS11
57,57
-0,07 (-0,12%)
27 Apr 2024 - Chiuso
Dati in Delay di 15 minuti
Borsa: Brasile
Tipo: Fondo
Valuta: BRL
Nome Azione Simbolo Borsa Mercato Tipo
Fundo Invest Imobiliario General Shopping Ativo Renda FII FIGS11 Brasile Fondo
  Variazione Variazione % Quotazione Attuale Ora
-0,07 -0,12% 57,57 04:30:25
Apertura Min Max Prezzo di chiusura Chiusura
57,64 57,26 57,64 57,57 57,64
quotazione »
alimentato da.

Storico Dividendi 10 Anni

Data di Compensazione Data di Pagamento Valore Mese di Riferimento Rendimento del Dividendo
28/3/202412/4/20240,432024-030,72%
29/2/202414/3/20240,432024-020,72%
31/1/202416/2/20240,432024-010,72%
28/12/202315/1/20240,452023-120,74%
30/11/202314/12/20230,452023-110,77%
31/10/202316/11/20230,452023-100,76%
29/9/202316/10/20230,452023-090,71%
31/8/202315/9/20230,452023-080,73%
31/7/202314/8/20230,452023-070,7%
30/6/202314/7/20230,712023-061,18%
31/5/202315/6/20230,422023-050,79%
28/4/202315/5/20230,412023-040,83%
31/3/202317/4/20230,392023-030,85%
28/2/202314/3/20230,392023-020,84%
31/1/202314/2/20230,392023-010,83%
29/12/202213/1/20230,422022-120,83%
30/11/202214/12/20220,392022-110,78%
31/10/202216/11/20220,382022-100,7%
30/9/202217/10/20220,372022-090,67%
31/8/202215/9/20220,372022-080,64%
29/7/202212/8/20220,372022-070,75%
30/6/202214/7/20220,402022-060,84%
31/5/202214/6/20220,372022-050,73%
29/4/202213/5/20220,372022-040,72%
31/3/202214/4/20220,372022-030,68%
25/2/202215/3/20220,372022-020,69%
31/1/202214/2/20220,372022-010,68%
30/12/202114/1/20220,372021-120,64%
30/11/202114/12/20210,322021-110,64%
29/10/202116/11/20210,302021-100,54%
30/9/202115/10/20210,302021-090,54%
31/8/202115/9/20210,302021-080,53%
30/7/202113/8/20210,252021-070,4%
30/6/202115/7/20210,292021-060,46%
31/5/202115/6/20210,152021-050,23%
30/4/202114/5/20210,102021-040,18%
31/3/202115/4/20210,102021-030,18%
26/2/202112/3/20210,292021-020,45%
29/1/202112/2/20210,292021-010,45%
30/12/201915/1/20201,922019-122,13%
30/8/201913/9/20190,132019-080,19%
31/7/201914/8/20190,272019-070,42%
28/6/201915/7/20190,142019-060,2%
31/5/201914/6/20190,402019-050,57%
30/4/201915/5/20190,552019-040,79%
29/3/201912/4/20190,832019-031,24%
28/2/201918/3/20190,832019-021,35%
31/1/201914/2/20190,832019-011,39%
28/12/201815/1/20190,832018-121,18%
30/11/201814/12/20180,832018-111,19%
31/10/201816/11/20180,832018-101,21%
28/9/201815/10/20180,832018-091,23%
31/8/201817/9/20180,832018-081,22%
31/7/201814/8/20180,832018-071,18%
29/6/201816/7/20180,832018-061,21%
30/5/201814/6/20180,832018-051,11%
30/4/201815/5/20180,832018-040,86%
29/3/201813/4/20180,832018-030,85%
28/2/201814/3/20180,832018-020,87%
31/1/201816/2/20180,832018-010,87%

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