JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 30 May 2025 | R$0.09 Dividend | 13 Jun 2025 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 30 Apr 2025 | R$0.09 Dividend | 15 May 2025 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 31 Mar 2025 | R$0.09 Dividend | 14 Apr 2025 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 28 Feb 2025 | R$0.09 Dividend | 18 Mar 2025 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 31 Jan 2025 | R$0.09 Dividend | 14 Feb 2025 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 30 Dec 2024 | R$0.09 Dividend | 15 Jan 2025 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 29 Nov 2024 | R$0.09 Dividend | 13 Dec 2024 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 31 Oct 2024 | R$0.09 Dividend | 14 Nov 2024 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 30 Sep 2024 | R$0.09 Dividend | 14 Oct 2024 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 30 Aug 2024 | R$0.09 Dividend | 13 Sep 2024 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 31 Jul 2024 | R$0.1 Dividend | 14 Aug 2024 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 28 Jun 2024 | R$0.1 Dividend | 12 Jul 2024 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 31 May 2024 | R$0.1 Dividend | 14 Jun 2024 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 30 Apr 2024 | R$0.1 Dividend | 15 May 2024 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 28 Mar 2024 | R$0.1 Dividend | 12 Apr 2024 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 29 Feb 2024 | R$0.1 Dividend | 14 Mar 2024 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 31 Jan 2024 | R$0.1 Dividend | 16 Feb 2024 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 28 Dec 2023 | R$0.1 Dividend | 15 Jan 2024 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 30 Nov 2023 | R$0.1 Dividend | 14 Dec 2023 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 31 Oct 2023 | R$0.1 Dividend | 16 Nov 2023 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 29 Sep 2023 | R$0.1 Dividend | 16 Oct 2023 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 31 Aug 2023 | R$0.09 Dividend | 15 Sep 2023 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 31 Jul 2023 | R$0.09 Dividend | 14 Aug 2023 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 30 Jun 2023 | R$0.09 Dividend | 14 Jul 2023 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 31 May 2023 | R$0.09 Dividend | 15 Jun 2023 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 28 Apr 2023 | R$0.09 Dividend | 15 May 2023 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 31 Mar 2023 | R$0.09 Dividend | 17 Apr 2023 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 28 Feb 2023 | R$0.09 Dividend | 14 Mar 2023 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 31 Jan 2023 | R$0.09 Dividend | 14 Feb 2023 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 29 Dec 2022 | R$0.09 Dividend | 13 Jan 2023 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 30 Nov 2022 | R$0.09 Dividend | 14 Dec 2022 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 31 Oct 2022 | R$0.09 Dividend | 16 Nov 2022 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 30 Sep 2022 | R$0.09 Dividend | 17 Oct 2022 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 31 Aug 2022 | R$0.09 Dividend | 15 Sep 2022 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 29 Jul 2022 | R$0.09 Dividend | 12 Aug 2022 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 30 Jun 2022 | R$0.09 Dividend | 14 Jul 2022 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 31 May 2022 | R$0.09 Dividend | 14 Jun 2022 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 29 Apr 2022 | R$0.09 Dividend | 13 May 2022 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 31 Mar 2022 | R$0.09 Dividend | 14 Apr 2022 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 25 Feb 2022 | R$0.09 Dividend | 15 Mar 2022 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 31 Jan 2022 | R$0.09 Dividend | 14 Feb 2022 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 30 Dec 2021 | R$0.08 Dividend | 14 Jan 2022 Payment Date | - Record Date | - Declaration Date |
JSAF JSAF11 JS Ativos Financeiros Fundo de Investimento Imobiliário 30 Nov 2021 | R$0.06 Dividend | 14 Dec 2021 Payment Date | - Record Date | - Declaration Date |