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Navi Residencial Fundo De Investimento Imobiliario
R$9.28
10
-R$0.21
-2.21%
Today
1D
1W
1M
3M
1Y
5Y
Statistics
Day High
9.6
Day Low
9.18
52W High
10.2
52W Low
8.03
Volume
7,066
Avg. Volume
3,871
Mkt Cap
35.31M
P/E Ratio
-
Dividend Yield
11.38%
Dividend
1.06
Upcoming
20
DEC
Dividend Payment
2
JAN 24
Dividend Ex
19
JAN 24
Dividend Payment
Dividends
11.38
%
Dividend Yield
Dec 23
R$0.09
Nov 23
R$0.09
Oct 23
R$0.1
Sep 23
R$0.1
Aug 23
R$0.1
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CEO
Country
Brazil
ISIN
BRAPTOCTF007
Listings
SA
BR
APTO11.SA
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