"Total Return" performance includes dividend payments over the period, as if they were reinvested at 100%.

Past dividends on Tishman Speyer Renda Corporativa Fundo De Investimento Imobiliario

02/08/2026 Monthly 1.645906 BRL
30/06/2026 Monthly 1.6474214 BRL
31/05/2026 Monthly 2.5559946 BRL
03/05/2026 Monthly 1.079284 BRL
31/03/2026 Monthly 0.9 BRL
01/03/2026 Monthly 0.99 BRL
01/02/2026 Monthly 1.01 BRL
30/11/2025 Monthly 1.01 BRL
02/11/2025 Monthly 0.98 BRL
30/09/2025 Monthly 0.96 BRL
31/08/2025 Monthly 0.97 BRL
31/07/2025 Monthly 0.96 BRL
30/06/2025 Monthly 0.96 BRL
01/06/2025 Monthly 0.95 BRL
01/05/2025 Monthly 0.99 BRL
31/03/2025 Monthly 0.99 BRL
04/03/2025 Monthly 1 BRL
02/02/2025 Monthly 1 BRL
01/01/2025 Monthly 0.99 BRL
01/12/2024 Monthly 0.98 BRL
31/10/2024 Monthly 0.97 BRL
30/09/2024 Monthly 0.94 BRL
01/09/2024 Monthly 0.9 BRL
31/07/2024 Monthly 0.92 BRL
30/06/2024 Monthly 0.96 BRL
02/06/2024 Monthly 0.96 BRL
01/05/2024 Monthly 0.96 BRL
31/03/2024 Monthly 0.99724 BRL
29/02/2024 Monthly 0.9509055 BRL
31/01/2024 Monthly 0.94 BRL
01/01/2024 Monthly 0.94 BRL
30/11/2023 Monthly 0.94 BRL
31/10/2023 Monthly 0.92 BRL
01/10/2023 Monthly 0.89 BRL
31/08/2023 Monthly 0.92 BRL
31/07/2023 Monthly 0.92 BRL
02/07/2023 Monthly 0.92 BRL
31/05/2023 Monthly 0.96 BRL
01/05/2023 Monthly 0.98 BRL
02/04/2023 Monthly 0.98 BRL
28/02/2023 Monthly 0.98 BRL
31/01/2023 Monthly 1.01 BRL
01/01/2023 Monthly 1.07 BRL
30/11/2022 Monthly 0.86 BRL
31/10/2022 Monthly 0.86 BRL
02/10/2022 Monthly 0.86 BRL
31/08/2022 Monthly 0.86 BRL
31/07/2022 Monthly 0.87 BRL
30/06/2022 Monthly 0.87 BRL
31/05/2022 Monthly 0.87 BRL
01/05/2022 Monthly 0.9 BRL
31/03/2022 Monthly 0.93 BRL
01/03/2022 Monthly 0.93 BRL
31/01/2022 Monthly 0.93 BRL
02/01/2022 Monthly 0.93 BRL
30/11/2021 Monthly 0.93 BRL
31/10/2021 Monthly 0.93 BRL
30/09/2021 Monthly 0.8 BRL
31/08/2021 Monthly 0.8 BRL
01/08/2021 Monthly 0.8 BRL