Total Return chart Fundo Investimento Imobiliario Tg Ativo Real

Equities

TGAR11

BRTGARCTF009

End-of-day quote Sao Paulo 23:00:00 27/06/2024 BST 5-day change 1st Jan Change
121.2 BRL +0.14% Intraday chart for Fundo Investimento Imobiliario Tg Ativo Real -1.61% -0.64%
"Total Return" performance includes dividend payments over the period, as if they were reinvested at 100%.

Past dividends on Fundo Investimento Imobiliario Tg Ativo Real

02/06/2024 Monthly 1.35 BRL
01/05/2024 Monthly 1.34 BRL
31/03/2024 Monthly 1.33 BRL
29/02/2024 Monthly 1.33 BRL
31/01/2024 Monthly 1.32 BRL
01/01/2024 Monthly 1.32 BRL
30/11/2023 Monthly 1.43 BRL
31/10/2023 Monthly 1.45 BRL
01/10/2023 Monthly 1.43 BRL
31/08/2023 Monthly 1.42 BRL
31/07/2023 Monthly 1.4 BRL
02/07/2023 Monthly 1.38 BRL
31/05/2023 Monthly 1.36 BRL
01/05/2023 Monthly 1.35 BRL
02/04/2023 Monthly 1.34 BRL
28/02/2023 Monthly 1.31 BRL
31/01/2023 Monthly 1.3 BRL
01/01/2023 Monthly 1.3 BRL
30/11/2022 Monthly 1.5 BRL
31/10/2022 Monthly 1.55 BRL
02/10/2022 Monthly 1.59 BRL
31/08/2022 Monthly 1.59 BRL
31/07/2022 Monthly 1.58 BRL
30/06/2022 Monthly 1.57 BRL
31/05/2022 Monthly 1.53 BRL
01/05/2022 Monthly 1.44 BRL
31/03/2022 Monthly 1.27 BRL
01/03/2022 Monthly 1.22 BRL
31/01/2022 Monthly 1.16 BRL
02/01/2022 Monthly 1.23 BRL
30/11/2021 Monthly 1.22 BRL
31/10/2021 Monthly 1.2 BRL
30/09/2021 Monthly 1.11 BRL
31/08/2021 Monthly 1.1 BRL
01/08/2021 Monthly 1.08 BRL
30/06/2021 Monthly 1.11 BRL
31/05/2021 Monthly 1.16 BRL
02/05/2021 Monthly 1.26 BRL
31/03/2021 Monthly 1.3 BRL
28/02/2021 Monthly 1.15 BRL
31/01/2021 Monthly 1.2 BRL
03/01/2021 Monthly 1.36 BRL
30/11/2020 Monthly 1.12 BRL
02/11/2020 Monthly 1.1 BRL
30/09/2020 Monthly 1 BRL
31/08/2020 Monthly 1.09 BRL
02/08/2020 Monthly 1.14 BRL
30/06/2020 Monthly 1.23 BRL
31/05/2020 Monthly 1.25 BRL
03/05/2020 Monthly 0.8 BRL
31/03/2020 Monthly 0.82 BRL
01/03/2020 Monthly 0.7 BRL
02/02/2020 Monthly 0.57 BRL
01/01/2020 Monthly 1.35 BRL
01/12/2019 Monthly 0.99 BRL
31/10/2019 Monthly 0.93 BRL
30/09/2019 Monthly 0.9 BRL