Fundo de Investimento Imobiliário - FII BTG Pactual Corporate Office Fund (BVMF:BRCR11)
Brazil flag Brazil · Delayed Price · Currency is BRL
43.30
+0.08 (0.19%)
At close: Dec 5, 2025

BVMF:BRCR11 Dividend Information

BVMF:BRCR11 has an annual dividend of 5.38 BRL per share, with a yield of 12.42%. The dividend is paid every month and the last ex-dividend date was Nov 10, 2025.

Dividend Yield
12.42%
Annual Dividend
5.38 BRL
Ex-Dividend Date
Nov 10, 2025
Payout Frequency
Monthly
Payout Ratio
11.37%
Dividend Growth
-18.49%

Dividend History

Ex-Div Date AmountRecord DatePay Date
2025-11-100.410 BRL2025-11-072025-11-14
2025-10-080.410 BRL2025-10-072025-10-14
2025-09-080.410 BRL2025-09-052025-09-12
2025-08-080.410 BRL2025-08-072025-08-14
2025-07-080.410 BRL2025-07-072025-07-14
2025-06-090.410 BRL2025-06-062025-06-13
2025-05-090.450 BRL2025-05-082025-05-15
2025-04-080.450 BRL2025-04-072025-04-14
2025-03-120.450 BRL2025-03-112025-03-18
2025-02-100.480 BRL2025-02-072025-02-14
2025-01-090.500 BRL2025-01-082025-01-15
2024-12-090.500 BRL2024-12-062024-12-13
2024-11-080.500 BRL2024-11-072024-11-14
2024-10-080.500 BRL2024-10-072024-10-14
2024-09-090.500 BRL2024-09-062024-09-13
2024-08-080.500 BRL2024-08-072024-08-14
2024-07-080.500 BRL2024-07-052024-07-12
2024-06-100.500 BRL2024-06-072024-06-14
2024-05-090.500 BRL2024-05-082024-05-15
2024-04-150.850 BRL2024-04-122024-05-29
2024-04-080.500 BRL2024-04-052024-04-12
2024-03-080.410 BRL2024-03-072024-03-14
2024-02-080.410 BRL2024-02-072024-02-16
2024-01-090.410 BRL2024-01-082024-01-15
2023-12-080.410 BRL2023-12-072023-12-14
2023-11-090.410 BRL2023-11-082023-11-16
2023-10-090.410 BRL2023-10-062023-10-16
2023-09-110.410 BRL2023-09-082023-09-15
2023-08-080.450 BRL2023-08-072023-08-14
2023-07-100.450 BRL2023-07-072023-07-14
2023-06-090.450 BRL2023-06-072023-06-15
2023-05-090.450 BRL2023-05-082023-05-15
2023-04-110.460 BRL2023-04-102023-04-17
2023-03-080.460 BRL2023-03-072023-03-14
2023-02-080.470 BRL2023-02-072023-02-14
2023-01-090.470 BRL2023-01-062023-01-13
2022-12-080.500 BRL2022-12-072022-12-14
2022-11-090.470 BRL2022-11-082022-11-16
2022-10-100.470 BRL2022-10-072022-10-17
2022-09-090.470 BRL2022-09-082022-09-15
2022-08-080.470 BRL2022-08-052022-08-12
2022-07-080.470 BRL2022-07-072022-07-14
2022-06-080.470 BRL2022-06-072022-06-14
2022-05-090.500 BRL2022-05-062022-05-13
2022-04-080.500 BRL2022-04-072022-04-14
2022-03-090.500 BRL2022-03-082022-03-15
2022-02-080.500 BRL2022-02-072022-02-14
2022-01-100.500 BRL2022-01-072022-01-14
2021-12-080.500 BRL2021-12-072021-12-14
2021-11-090.460 BRL2021-11-082021-11-16
2021-10-080.460 BRL2021-10-072021-10-15
2021-09-090.460 BRL2021-09-082021-09-15
2021-08-090.460 BRL2021-08-062021-08-13
2021-07-080.460 BRL2021-07-072021-07-15
2021-06-090.460 BRL2021-06-082021-06-15
2021-05-100.460 BRL2021-05-072021-05-14
2021-04-090.460 BRL2021-04-082021-04-15
2021-03-080.480 BRL2021-03-052021-03-12
2021-02-080.49026 BRL2021-02-052021-02-12
2021-01-110.500 BRL2021-01-082021-01-15
2020-12-080.49909 BRL2020-12-072020-12-14
* Dividend amounts are adjusted for stock splits when applicable.

Dividend Charts