DAYCOVAL REAL ESTATE MULTIESTRATÉGIA FUNDO DE INVESTIMENTO IMOBILIÁRIO DE RESPONSABILIDADE LIMITADA

BalançosDAYCOVAL REAL ESTATE MULTIESTRATÉGIA FUNDO DE INVESTIMENTO IMOBILIÁRIO DE RESPONSABILIDADE LIMITADA

DAYM11

Tabela de balanços completa e atualizada com os principais indicadores financeiros: Caixa, Imóveis, Rendimentos, Taxas, Rendimento/Cota, VPC, Dividend Yield (DY), dentre vários outros

Ano
08/2025
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
09/2025
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
10/2025
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
11/2025
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
12/2025
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
01/2026
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
02/2026
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
$1,345
03/2026
7.8
145
62
0
1.2
4.7
221
0
0.2
0%
51
51
170
012%
01%
-0
0.2
0.037
0.37%
04/2026
6
146
62
0
1.2
4.7
220
0
0.2
0%
51
51
169
012%
01%
0
0.2
0.037
0.37%
05/2026
5.3
146
62
0
1.2
4.6
220
0
0.2
0%
50
50
169
012%
01%
0
0.2
0.037
0.37%
06/2026
5.3
146
62
0
1.2
4.5
220
0
0.2
0%
50
50
170
012%
01%
0.1
0.2
0.037
0.37%
07/2026
4.6
146
62
0
1.2
4.5
219
0
0.2
0%
49
50
169
012%
01%
0
0.2
0.037
0.37%