FUNDO DE INVESTIMENTO IMOBILIÁRIO – SPX SYN MULT

BalançosFUNDO DE INVESTIMENTO IMOBILIÁRIO – SPX SYN MULT

SPXS11

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
19
0
25
147
0
0
191
0
0.1
0%
0.2
0.4
191
012%
0.23%
0
0.2
0.095
1%
04/2026
0
0
43
148
0
0
191
0
0.1
0%
0.3
0.4
191
012%
0.23%
0
0.2
0.097
1%
05/2026
24
0
25
141
0
0
190
0
0.1
0%
0.2
0.3
190
012%
0.23%
0
0.2
0.097
1%
06/2026
30
0
23
136
0
0
190
0
0.1
0%
0.2
0.3
189
012%
0.234%
0.3
0.2
0.098
1%
07/2026
30
0
20
140
0
0
190
0
0.1
0%
0
0.2
190
012%
0.234%
0
0.2
0.099
1.1%