FII Navi Total Return Fund logo

FII Navi Total Return Fund (NAVT11)

Market Closed
10 Aug, 19:55
B3 B3
R$
71. 19
-1.02
-1.4125%
R$
93.21M Market Cap
- P/E Ratio
4% Div Yield
951 Volume
- Eps
R$ 72.21
Previous Close
Add Transaction
Day Range
71 72.84
Year Range
67.21 79.95
Want to track NAVT11 and more in your Portfolio? 🎯
Sign up for Marketlog, a portfolio tracker that will exceed your expectations!
Name Ex-Dividend Date Dividend Payment Date Record Date Declaration Date Frequency
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
19 Jun 2026
12 Jun 2026
R$1.1
19 Jun 2026
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
21 May 2026
14 May 2026
R$1.1
21 May 2026
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
22 Apr 2026
14 Apr 2026
R$0.85
22 Apr 2026
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
19 Mar 2026
12 Mar 2026
R$0.85
19 Mar 2026
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
23 Feb 2026
12 Feb 2026
R$0.85
23 Feb 2026
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
21 Jan 2026
14 Jan 2026
R$1.24
21 Jan 2026
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
18 Dec 2025
11 Dec 2025
R$0.75
18 Dec 2025
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
21 Nov 2025
13 Nov 2025
R$0.75
21 Nov 2025
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
20 Oct 2025
13 Oct 2025
R$0.75
20 Oct 2025
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
18 Sep 2025
11 Sep 2025
R$0.75
18 Sep 2025
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
20 Aug 2025
13 Aug 2025
R$0.75
20 Aug 2025
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
18 Jul 2025
11 Jul 2025
R$0.98
18 Jul 2025
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
20 Jun 2025
12 Jun 2025
R$0.7
20 Jun 2025
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
21 May 2025
14 May 2025
R$0.7
21 May 2025
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
22 Apr 2025
11 Apr 2025
R$0.7
22 Apr 2025
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
24 Mar 2025
17 Mar 2025
R$0.7
24 Mar 2025
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
20 Feb 2025
13 Feb 2025
R$0.7
20 Feb 2025
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
21 Jan 2025
14 Jan 2025
R$0.75
21 Jan 2025
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
19 Dec 2024
12 Dec 2024
R$0.75
19 Dec 2024
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
22 Nov 2024
13 Nov 2024
R$0.9
22 Nov 2024
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
18 Oct 2024
11 Oct 2024
R$0.9
18 Oct 2024
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
19 Sep 2024
12 Sep 2024
R$1
19 Sep 2024
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
20 Aug 2024
13 Aug 2024
R$1
20 Aug 2024
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
18 Jul 2024
11 Jul 2024
R$1
18 Jul 2024
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
20 Jun 2024
13 Jun 2024
R$1.1
20 Jun 2024
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
21 May 2024
14 May 2024
R$1.25
21 May 2024
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
18 Apr 2024
11 Apr 2024
R$2.5
18 Apr 2024
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
20 Mar 2024
13 Mar 2024
R$1
20 Mar 2024
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
22 Feb 2024
15 Feb 2024
R$1
22 Feb 2024
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
19 Jan 2024
12 Jan 2024
R$1.79
19 Jan 2024
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
20 Dec 2023
13 Dec 2023
R$1.6
20 Dec 2023
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
22 Nov 2023
14 Nov 2023
R$1.3
22 Nov 2023
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
20 Oct 2023
13 Oct 2023
R$1
20 Oct 2023
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
21 Sep 2023
14 Sep 2023
R$1
21 Sep 2023
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
18 Aug 2023
11 Aug 2023
R$1
18 Aug 2023
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
20 Jul 2023
13 Jul 2023
R$0.9
20 Jul 2023
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
21 Jun 2023
14 Jun 2023
R$0.85
21 Jun 2023
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
19 May 2023
12 May 2023
R$0.85
19 May 2023
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
24 Apr 2023
14 Apr 2023
R$0.85
24 Apr 2023
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
20 Mar 2023
13 Mar 2023
R$0.85
20 Mar 2023
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
22 Feb 2023
13 Feb 2023
R$0.85
22 Feb 2023
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
19 Jan 2023
12 Jan 2023
R$0.85
19 Jan 2023
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
20 Dec 2022
13 Dec 2022
R$0.85
20 Dec 2022
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
22 Nov 2022
14 Nov 2022
R$0.85
22 Nov 2022
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
21 Oct 2022
14 Oct 2022
R$0.85
21 Oct 2022
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
21 Sep 2022
14 Sep 2022
R$0.85
21 Sep 2022
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
18 Aug 2022
11 Aug 2022
R$0.85
18 Aug 2022
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
20 Jul 2022
13 Jul 2022
R$0.87
20 Jul 2022
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
21 Jun 2022
13 Jun 2022
R$0.85
21 Jun 2022
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
19 May 2022
12 May 2022
R$0.85
19 May 2022
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
22 Apr 2022
13 Apr 2022
R$0.85
22 Apr 2022
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
21 Mar 2022
14 Mar 2022
R$0.75
21 Mar 2022
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
18 Feb 2022
11 Feb 2022
R$0.75
18 Feb 2022
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
20 Jan 2022
13 Jan 2022
R$0.6
20 Jan 2022
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
20 Dec 2021
13 Dec 2021
R$0.6
20 Dec 2021
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
22 Nov 2021
12 Nov 2021
R$0.6
22 Nov 2021
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
21 Oct 2021
14 Oct 2021
R$0.6
21 Oct 2021
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
21 Sep 2021
14 Sep 2021
R$0.6
21 Sep 2021
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
19 Aug 2021
12 Aug 2021
R$0.6
19 Aug 2021
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
21 Jul 2021
14 Jul 2021
R$0.6
21 Jul 2021
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
21 Jun 2021
14 Jun 2021
R$0.6
21 Jun 2021
-
-
Other
FII Navi Total Return Fund logo
NAVT11 Paid
FII Navi Total Return Fund
20 May 2021
13 May 2021
R$0.6
20 May 2021
-
-
Other

NAVT11 Dividend FAQ

What is the dividend yield?

The current dividend yield for NAVT11 is 4%, based on the most recent dividend payment and the current stock price of R$71.19 on the B3.

How often are dividends paid?

FII Navi Total Return Fund is not making dividend payments, so there is no set payment schedule.

When is the next dividend payment date?

FII Navi Total Return Fund has not announced any upcoming dividend.

What is the dividend history?

The company has a dividend payment history that includes 5 years of consistent payments. The most recent payment was 1.1 per share on 2026-06-12.

What is the average annual dividend growth rate?

The average annual dividend growth rate over the past 5 years is approximately 12.89%, reflecting the NAVT11's commitment to rewarding shareholders.

How can I track NAVT11 dividends?

You can easily track NAVT11 dividend payments using our Dividend Tracker. It helps you monitor upcoming payment dates, yields, history, and more - all in one place.