FIICotaçãoNomeData últ cotMandatoMin 52 semSegmentoMax 52 semGestãoVol $ méd (2m)Valor de mercadoNro. CotasRelatórioÚlt Info TrimestralDiaFFO YieldFFO/CotaMêsDiv. YieldDividendo/cota30 diasP/VPVP/Cota12 meses20212020ReceitaReceita2019Venda de ativosVenda de ativos2018FFOFFO2017Rend. DistribuídoRend. Distribuído2016AtivosPatrim Líquido20212020ReceitaReceita2019Venda de ativosVenda de ativos2018FFOFFO2017Rend. DistribuídoRend. Distribuído2016AtivosPatrim LíquidoQtd imóveisÁrea (m2)Cap RateQtd UnidadesAluguel/m2Vacância MédiaImóveis/PL do FIIPreço do m2
ABCP1177,50FUNDO DE INVESTIMENTO IMOBILIÁRIO GRAND PLAZA SHOPPING28/04/2025Renda60,24Shoppings77,50Passiva61.748364.954.0004.709.08228/02/202531/12/20240,01%8,32%6,452,25%8,5%6,631,32%0,72107,6718,38%6,12%18,40%38.141.4008.818.2206,82%0011,66%30.363.6005.972.7400,40%31.221.2007.063.620-29,79%509.955.000507.004.0006,12%18,40%38.141.4008.818.2206,82%0011,66%30.363.6005.972.7400,40%31.221.2007.063.620-29,79%509.955.000507.004.000169.69810,6%2885371,4%97,2%5.089
AFCR11103,15CARTESIA RECEBÍVEIS IMOBILIÁRIOS - FUNDO DE INVESTIMENTO IMOBILIÁRIO12/11/2021Híbrido0,00Híbrido0,00Ativa0498.867.0004.836.32431/01/202531/12/20240,00%12,61%13,010,00%0,0%0,000,00%1,0796,210,00%0,00%0,00%61.323.10017.737.2000,00%4.683.59000,00%62.930.20018.725.0006,38%0017,32%472.021.000465.312.0000,00%0,00%61.323.10017.737.2000,00%4.683.59000,00%62.930.20018.725.0006,38%0017,32%472.021.000465.312.00000-0--0,0%-
AIEC1145,40ARCH EDIFÍCIOS CORPORATIVOS FUNDO DE INVESTIMENTO IMOBILIÁRIO - RESPONSABILIDADE LIMITADA28/04/2025Renda39,46Lajes Corporativas50,87Ativa342.566219.054.0004.824.98731/03/202531/12/20240,20%19,49%8,85-1,69%16,5%7,63-1,01%0,5877,751,13%0,66%-3,57%42.426.4009.992.780-4,42%006,40%42.685.4008.547.320-15,81%36.814.7003.908.2400,58%382.952.000375.121.0000,66%-3,57%42.426.4009.992.780-4,42%006,40%42.685.4008.547.320-15,81%36.814.7003.908.2400,58%382.952.000375.121.000222.98920,3%21.7870,0%92,4%8.804
ALMI11607,85FII TORRE ALMIRANTE28/04/2025Renda528,07Lajes Corporativas644,66Passiva24.06167.578.900111.17706/03/202531/12/2024-0,04%6,19%37,641,65%5,8%35,461,66%0,292.105,17-1,49%8,07%-13,47%10.412.9002.747.500-25,08%00-16,27%4.185.0401.187.510-18,40%3.942.1901.128.480-34,20%239.328.000234.046.0008,07%-13,47%10.412.9002.747.500-25,08%00-16,27%4.185.0401.187.510-18,40%3.942.1901.128.480-34,20%239.328.000234.046.000143.44414,8%3821855,4%94,7%1.474
ALZM116,40ALIANZA MULTIESTRATÉGIA FUNDO DE INVESTIMENTO IMOBILIÁRIO20/12/2024Títulos e Valores Mobiliários5,65Títulos e Val. Mob.7,77Ativa097.155.50015.180.54031/01/202531/12/20240,00%11,76%0,750,00%13,2%0,850,00%0,867,46-16,18%0,00%-16,23%12.489.2002.857.79013,63%3.943.270-171.09010,16%11.421.5002.508.24049,67%12.827.6001.214.4400,00%113.419.000113.203.0000,00%-16,23%12.489.2002.857.79013,63%3.943.270-171.09010,16%11.421.5002.508.24049,67%12.827.6001.214.4400,00%113.419.000113.203.00000-0--0,0%-
ALZR1197,81ALIANZA TRUST RENDA IMOBILIARIA - FUNDO DE INVESTIMENTO IMOBILIARIO28/04/2025Renda90,27Híbrido105,34Ativa2.286.7001.195.890.00012.226.62531/03/202531/12/2024-0,40%7,85%7,68-2,54%9,4%9,14-1,39%0,94104,05-5,55%0,31%-5,40%125.146.00033.753.80017,81%66.736.80047.471.00012,19%93.903.60023.527.500-4,28%111.705.00029.667.900-1,41%1.631.770.0001.272.160.0000,31%-5,40%125.146.00033.753.80017,81%66.736.80047.471.00012,19%93.903.60023.527.500-4,28%111.705.00029.667.900-1,41%1.631.770.0001.272.160.00018192.8227,8%193740,0%77,3%4.795
ANCR11150,00FII ANCAR IC28/04/2025Desenvolvimento para Renda56,26Shoppings150,00Ativa2174.010.260.00026.735.046-31/12/20240,00%6,31%9,46130,77%5,3%8,08130,77%1,36110,12159,76%54,17%65,12%278.837.00084.023.5000,00%000,00%252.873.00068.890.4000,00%216.000.00054.000.0000,00%3.529.740.0002.943.960.00054,17%65,12%278.837.00084.023.5000,00%000,00%252.873.00068.890.4000,00%216.000.00054.000.0000,00%3.529.740.0002.943.960.0007199.1198,3%10641.4004,4%83,3%16.776
ARCT1187,13RIZA ARCTIUM REAL ESTATE FUNDO DE INVESTIMENTO IMOBILIÁRIO25/01/2023Híbrido0,00Híbrido0,00Ativa0368.999.0004.235.04231/01/202531/12/20240,00%-60,77%-52,950,00%0,0%0,000,00%0,86101,070,00%0,00%0,00%36.067.8009.882.560-0,76%309.775328.276-1,21%-224.231.00011.673.40017,88%0044,58%466.902.000428.037.0000,00%0,00%36.067.8009.882.560-0,76%309.775328.276-1,21%-224.231.00011.673.40017,88%0044,58%466.902.000428.037.00012345.7099,0%10990,0%103,1%1.101
ARRI117,49OPEN K ATIVOS E RECEBIVEIS IMOBILIARIOS - FUNDO DE INVESTIMENTO IMOBILIARIO28/04/2025Títulos e Valores Mobiliários7,03Títulos e Val. Mob.8,34Ativa226.556155.245.00020.726.97328/02/202531/12/20240,27%8,64%0,65-0,66%15,0%1,03-0,79%0,898,46-5,85%-4,08%2,94%15.454.7004.484.29013,01%6.208.8601.448.64012,65%13.405.5004.083.09025,52%21.316.0005.596.280-3,19%180.365.000175.273.000-4,08%2,94%15.454.7004.484.29013,01%6.208.8601.448.64012,65%13.405.5004.083.09025,52%21.316.0005.596.280-3,19%180.365.000175.273.00000-0--0,0%-
ATSA1149,99HEDGE ATRIUM SHOPPING SANTO ANDRÉ FUNDO DE INVESTIMENTO IMOBILIÁRIO28/04/2025Desenvolvimento para Renda46,96Shoppings55,37Passiva98987.539.5001.751.14131/01/202531/12/20240,06%5,08%2,540,24%4,4%2,251,23%0,6676,03-7,55%-3,61%-1,47%5.084.3601.018.240-30,13%00-17,70%4.450.610873.120-15,78%3.940.0700-16,30%133.240.000133.138.000-3,61%-1,47%5.084.3601.018.240-30,13%00-17,70%4.450.610873.120-15,78%3.940.0700-16,30%133.240.000133.138.000133.2235,8%22614916,8%97,7%2.575
BARI1174,29FUNDO DE INVESTIMENTO IMOBILIÁRIO VBI RENDIMENTOS IMOBILIÁRIOS I FII28/04/2025Títulos e Valores Mobiliários54,64Títulos e Val. Mob.75,68Ativa465.724344.274.0004.634.19128/02/202531/12/20240,94%12,91%9,592,05%13,2%9,962,47%0,8191,264,74%12,96%-6,30%45.385.60011.342.8006,88%-45.784-5.659-2,69%44.453.40011.108.6008,78%46.135.20012.883.10014,99%427.454.000422.905.00012,96%-6,30%45.385.60011.342.8006,88%-45.784-5.659-2,69%44.453.40011.108.6008,78%46.135.20012.883.10014,99%427.454.000422.905.00032260,0%200,0%0,2%3.242
BBFI11310,97BB FUNDO DE INVESTIMENTO IMOBILIÁRIO PROGRESSIVO RESPONSABILIDADE LIMITADA28/04/2025Renda292,01Lajes Corporativas729,99Passiva35.32240.426.100130.00028/02/202531/12/20241,92%221,38%688,423,83%44,0%187,992,16%0,44708,92-49,65%-15,91%-40,13%100.374.000792.7580,00%000,00%89.495.200-1.511.3100,00%24.438.60000,00%99.201.40092.159.400-15,91%-40,13%100.374.000792.7580,00%000,00%89.495.200-1.511.3100,00%24.438.60000,00%99.201.40092.159.400140.176316,9%12.401100,0%75,3%758
BBPO1196,75TIVIO RENDA IMOBILIÁRIA FUNDO DE INVESTIMENTO IMOBILIÁRIO RESPONSABILIDADE LIMITADA29/09/2023Renda0,00Lajes Corporativas0,00Ativa01.540.230.00015.919.69030/11/202430/09/20240,00%10,42%10,080,00%0,0%0,000,00%0,95101,360,00%0,00%0,00%193.720.00048.394.00023,89%002,14%160.460.00034.249.700-14,66%00-21,29%1.634.420.0001.613.630.0000,00%0,00%193.720.00048.394.00023,89%002,14%160.460.00034.249.700-14,66%00-21,29%1.634.420.0001.613.630.00061389.65013,0%614801,4%93,4%3.690
BBRC11103,70BB RENDA CORPORATIVA FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII28/04/2025Desenvolvimento para Renda90,17Outros107,66Passiva67.566164.883.0001.590.00031/03/202531/12/2024-0,74%12,58%13,050,05%12,6%13,17-0,99%0,99104,733,86%7,31%-2,54%22.767.4005.383.90031,93%682.160176.6932,21%20.742.8004.818.770-12,82%20.940.3005.151.6007,88%168.878.000166.519.0007,31%-2,54%22.767.4005.383.90031,93%682.160176.6932,21%20.742.8004.818.770-12,82%20.940.3005.151.6007,88%168.878.000166.519.0002115.44915,4%211.47412,5%89,8%9.582
BCFF117,35FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII BTG PACTUAL FUNDO DE FUNDOS RESPONSABILIDADE LIMITADA18/10/20247,35Títulos e Val. Mob.8,66Ativa01.480.960.000201.491.02429/11/202431/12/20240,00%8,06%0,590,00%7,7%0,570,00%0,848,76-13,38%0,00%-14,89%142.411.0002.354.60024,77%-5.713.460-15.928.2003,28%119.302.000-4.176.980-17,18%114.245.0000-1,83%1.770.820.0001.766.030.0000,00%-14,89%142.411.0002.354.60024,77%-5.713.460-15.928.2003,28%119.302.000-4.176.980-17,18%114.245.0000-1,83%1.770.820.0001.766.030.00000-0--0,0%-
BCIA1186,44BRADESCO CARTEIRA IMOBILIÁRIA ATIVA - FUNDO DE FUNDOS DE INVESTIMENTO IMOBILIÁRIO - FII28/04/2025Títulos e Valores Mobiliários73,06Títulos e Val. Mob.97,30Ativa392.583321.474.0003.719.03811/04/202531/12/20240,34%12,11%10,475,30%11,9%10,375,28%0,8996,86-7,73%3,67%-7,27%765.690320.85535,85%41.358-1.030.3609,26%38.919.80011.852.300-19,09%38.566.4009.371.980-32,57%364.180.000360.241.0003,67%-7,27%765.690320.85535,85%41.358-1.030.3609,26%38.919.80011.852.300-19,09%38.566.4009.371.980-32,57%364.180.000360.241.00000-0--0,0%-
BCRI1167,90BANESTES RECEBIVEIS IMOBILIARIOS FUNDO DE INVESTIMENTO IMOBILIARIO28/04/2025Títulos e Valores Mobiliários53,20Títulos e Val. Mob.68,10Ativa490.455424.910.0006.257.87331/03/202531/12/20240,00%14,65%9,950,56%13,7%9,430,99%0,8084,7013,32%20,06%-8,79%63.875.50014.908.600-11,43%-59-591,56%62.263.40014.706.5006,76%59.011.70014.831.2009,36%538.114.000530.043.00020,06%-8,79%63.875.50014.908.600-11,43%-59-591,56%62.263.40014.706.5006,76%59.011.70014.831.2009,36%538.114.000530.043.00000-0--0,0%-
BICR1135,92ALIANZA TÍTULOS IMOBILIÁRIOS FUNDO DE INVESTIMENTO IMOBILIÁRIO06/11/202433,90Títulos e Val. Mob.65,37Ativa017.960.000500.00030/09/202431/12/20240,00%14,26%5,120,00%6,4%2,320,00%0,8641,61-42,51%0,00%-49,83%2.527.1101.027.91089,65%-985.756-580.48427,19%2.561.140933.024-0,50%1.161.5000-13,74%20.934.70020.805.9000,00%-49,83%2.527.1101.027.91089,65%-985.756-580.48427,19%2.561.140933.024-0,50%1.161.5000-13,74%20.934.70020.805.90000-0--0,0%-
BLCP1191,00BLUECAP RENDA LOGÍSTICA FUNDO DE INVESTIMENTO IMOBILIÁRIO -FII27/10/2022Renda0,00Logística0,00Ativa0208.962.0002.296.28214/09/202230/06/20220,00%5,41%4,920,00%0,0%0,000,00%0,81111,740,00%0,00%0,00%14.036.5003.904.4400,00%001,67%11.297.3003.409.840-1,12%001,52%260.825.000256.580.0000,00%0,00%14.036.5003.904.4400,00%001,67%11.297.3003.409.840-1,12%001,52%260.825.000256.580.000269.0006,6%52000,0%99,5%3.014
BMLC1197,14FII BM BRASCAN LAJES CORPORATIVAS28/04/2025Híbrido89,07Híbrido99,27Ativa975.29796.985.100998.40531/03/202531/12/2024-0,01%8,92%8,670,72%8,8%8,640,74%0,86112,646,52%2,05%15,78%9.641.2902.197.25017,73%0026,51%8.654.4601.860.8500,37%8.626.2202.096.6500,79%116.475.000112.458.0002,05%15,78%9.641.2902.197.25017,73%0026,51%8.654.4601.860.8500,37%8.626.2202.096.6500,79%116.475.000112.458.00015.8899,5%291.4362,1%91,7%15.104
BNFS1172,31BANRISUL NOVAS FRONTEIRAS FUNDO DE INVESTIMENTO IMOBILIARIO - FII28/04/2025Desenvolvimento para Renda67,96Outros108,88Ativa150.89550.617.000700.00031/03/202531/12/20241,85%22,06%15,954,00%20,6%15,084,91%0,9377,72-31,16%-23,82%-6,06%12.601.9002.780.02015,05%0011,32%11.163.8002.459.77013,89%10.556.0002.176.5400,44%55.836.30054.402.200-23,82%-6,06%12.601.9002.780.02015,05%0011,32%11.163.8002.459.77013,89%10.556.0002.176.5400,44%55.836.30054.402.2001810.22425,8%181.1990,2%93,7%4.641
BPFF1159,67FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII BRASIL PLURAL ABSOLUTO FUNDO DE FUNDOS28/04/2025Títulos e Valores Mobiliários49,78Outros64,79Ativa232.772268.057.0004.492.32631/03/202531/12/20240,29%17,32%10,332,38%12,2%7,364,06%0,8669,74-5,45%11,35%-12,49%49.685.60016.286.70024,29%116.00663.9751,01%46.416.10015.330.400-2,46%33.063.5008.265.880-30,54%316.251.000313.293.00011,35%-12,49%49.685.60016.286.70024,29%116.00663.9751,01%46.416.10015.330.400-2,46%33.063.5008.265.880-30,54%316.251.000313.293.00000-0--0,0%-
BPML1180,00FUNDO DE INVESTIMENTO IMOBILIÁRIO BTG PACTUAL SHOPPINGS28/04/2025Renda63,21Híbrido85,96Ativa1.713.420595.340.0007.441.74531/03/202531/12/20240,00%9,76%7,811,36%15,7%12,771,36%0,61130,97-6,13%16,05%-12,53%105.519.00028.025.40053,47%00-10,94%58.095.30018.806.300-22,59%95.031.10023.888.000-15,37%1.161.340.000974.638.00016,05%-12,53%105.519.00028.025.40053,47%00-10,94%58.095.30018.806.300-22,59%95.031.10023.888.000-15,37%1.161.340.000974.638.000491.49516,1%6227167,0%68,4%4.452
BPRP11107,50FUNDO DE INVESTIMENTO IMOBILIARIO - FII BRLPROP27/09/2024Renda94,68Outros109,07Passiva0145.107.0001.349.837-30/06/20240,00%10,56%11,350,00%5,1%5,550,00%0,86125,5714,54%0,00%6,72%16.025.2004.079.04021,88%0012,77%15.318.5003.879.720-10,66%7.491.600030,41%169.570.000169.497.0000,00%6,72%16.025.2004.079.04021,88%0012,77%15.318.5003.879.720-10,66%7.491.600030,41%169.570.000169.497.000123.06711,1%16920,0%99,0%6.231
BRCO11113,36BRESCO LOGÍSTICA FUNDO DE INVESTIMENTO IMOBILIÁRIO RESPONSABILIDADE LIMITADA28/04/2025Híbrido90,86Logística113,36Ativa2.803.2701.803.010.00015.905.13331/03/202531/12/20241,83%6,99%7,927,33%9,1%10,448,01%0,96118,344,30%15,04%-9,39%157.871.00040.567.20037,26%48.172.10012.508.8002,97%126.041.00032.224.100-4,67%166.030.00041.512.400-18,18%2.061.300.0001.882.280.00015,04%-9,39%157.871.00040.567.20037,26%48.172.10012.508.8002,97%126.041.00032.224.100-4,67%166.030.00041.512.400-18,18%2.061.300.0001.882.280.00012471.8968,3%122960,0%92,9%3.551
BRCR1142,80BTG PACTUAL CORPORATE OFFICE FUND - FUNDO DE INVESTIMENTO IMOBILIÁRIO RESPONSABILIDADE LIMITADA28/04/2025Híbrido37,15Híbrido50,25Ativa1.518.1101.140.120.00026.638.20231/03/202531/12/2024-0,37%0,58%0,258,21%13,6%5,888,23%0,4986,82-12,38%7,92%-16,55%210.968.00038.788.8009,52%257.427.000-728.926-10,98%6.572.20030.531.700-11,98%156.633.00036.760.700-19,12%2.440.360.0002.312.840.0007,92%-16,55%210.968.00038.788.8009,52%257.427.000-728.926-10,98%6.572.20030.531.700-11,98%156.633.00036.760.700-19,12%2.440.360.0002.312.840.000696.23415,3%581.5671,2%86,6%10.258
BREV11105,00BRAZIL REAL ESTATE VICTORY FUND I - FUNDO DE INVESTIMENTO IMOBILIARIO22/09/2023Renda0,00Híbrido0,00Ativa0101.556.000967.20131/08/202330/09/20230,00%6,59%6,920,00%0,0%0,000,00%0,000,000,00%0,00%0,00%8.391.3202.059.95024,20%6.200.0006.200.0004,62%6.688.8601.602.550-7,36%004,18%000,00%0,00%8.391.3202.059.95024,20%6.200.0006.200.0004,62%6.688.8601.602.550-7,36%004,18%00135.277-311.4380,0%0,0%0
BTCR1188,00FUNDO DE INVESTIMENTO IMOBILIARIO - BTG PACTUAL CREDITO IMOBILIARIO25/11/2022Títulos e Valores Mobiliários0,00Títulos e Val. Mob.0,00Ativa0423.289.0004.810.09730/10/202230/09/20220,00%12,48%10,990,00%0,0%0,000,00%0,9295,270,00%0,00%0,00%61.293.00017.107.8000,00%9.975.5703.190.8309,38%52.839.90014.773.20011,12%00-7,26%497.547.000458.253.0000,00%0,00%61.293.00017.107.8000,00%9.975.5703.190.8309,38%52.839.90014.773.20011,12%00-7,26%497.547.000458.253.00000-0--0,0%-
BTLG11100,39BTG PACTUAL LOGÍSTICA FUNDO DE INVESTIMENTO IMOBILIÁRIO RESPONSABILIDADE LIMITADA28/04/2025Renda82,90Híbrido101,08Ativa7.487.5004.341.780.00043.249.15131/03/202531/12/2024-0,14%6,95%6,983,78%9,3%9,373,62%0,97103,999,40%10,58%-0,65%399.781.000105.747.00014,23%519.517.000137.000.0002,68%301.793.00089.226.7004,42%405.166.000101.203.0006,83%5.653.070.0004.497.510.00010,58%-0,65%399.781.000105.747.00014,23%519.517.000137.000.0002,68%301.793.00089.226.7004,42%405.166.000101.203.0006,83%5.653.070.0004.497.510.000301.279.6095,5%481832,9%97,3%3.303
CACR1197,12CARTESIA RECEBÍVEIS IMOBILIÁRIOS - FUNDO DE INVESTIMENTO IMOBILIÁRIO28/04/2025Híbrido70,86Híbrido97,35Ativa1.109.160469.704.0004.836.32431/03/202531/12/2024-0,24%13,40%13,010,73%16,3%15,521,13%1,0295,149,30%18,87%-0,52%61.323.10017.737.20018,84%4.683.590011,08%62.930.20018.725.00016,35%75.078.00019.055.10017,32%466.918.000460.113.00018,87%-0,52%61.323.10017.737.20018,84%4.683.590011,08%62.930.20018.725.00016,35%75.078.00019.055.10017,32%466.918.000460.113.00000-0--0,0%-
CARE111,32BRAZILIAN GRAVEYARD AND DEATH CARE SERVICES FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII28/04/2025Títulos e Valores Mobiliários1,20Híbrido1,95Ativa22.57647.216.30035.769.91931/03/202531/12/20240,00%-13,18%-0,17-6,38%0,0%0,00-7,69%0,197,00-31,25%-5,04%1,46%499.909154.452-51,42%2.204.900104.0001,81%-6.224.370-885.891-19,74%00-44,90%250.832.000250.314.000-5,04%1,46%499.909154.452-51,42%2.204.900104.0001,81%-6.224.370-885.891-19,74%00-44,90%250.832.000250.314.000100,0%--28,0%-
CBOP1125,00CASTELLO BRANCO OFFICE PARK - FUNDO DE INVESTIMENTO IMOBILIÁRIO - RESPONSABILIDADE LIMITADA28/04/2025Renda20,33Lajes Corporativas28,83Passiva43.39435.375.0001.415.00031/03/202531/12/20240,00%4,65%1,1616,50%4,3%1,0818,87%0,3767,42-8,68%10,84%-25,11%5.108.9701.329.970-34,39%00-5,61%1.643.450239.728-7,73%1.528.200424.500-15,77%95.912.00095.399.40010,84%-25,11%5.108.9701.329.970-34,39%00-5,61%1.643.450239.728-7,73%1.528.200424.500-15,77%95.912.00095.399.400116.03714,5%3031455,8%98,5%2.172
CEOC1139,14FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII CEO CYRELA COMMERCIAL PROPERTIES RESPONSABILIDADE LIMITADA28/04/2025Renda35,27Lajes Corporativas42,11Passiva44.59871.066.3001.815.69628/02/202531/12/2024-0,71%13,46%5,273,94%13,4%5,314,22%0,5472,99-2,33%8,81%-7,67%10.672.8002.788.880-3,51%00-0,20%9.565.4902.493.280-5,68%9.637.7202.416.680-22,12%133.080.000132.531.0008,81%-7,67%10.672.8002.788.880-3,51%00-0,20%9.565.4902.493.280-5,68%9.637.7202.416.680-22,12%133.080.000132.531.000114.28016,1%607230,0%90,5%4.504
CNES111,01CENESP FUNDO DE INVESTIMENTO IMOBILIÁRIO RESPONSABILIDADE LIMITADA28/04/2025Renda0,98Lajes Corporativas1,96Ativa52.71834.476.20034.134.82531/03/202531/12/20240,00%9,34%0,09-5,94%8,7%0,09-10,10%0,137,57-33,45%-5,48%-38,26%12.377.6003.108.770-27,15%-2.1970-2,52%3.221.690693.700-41,58%3.016.180888.517-32,91%259.288.000258.486.000-5,48%-38,26%12.377.6003.108.770-27,15%-2.1970-2,52%3.221.690693.700-41,58%3.016.180888.517-32,91%259.288.000258.486.000164.48034,2%3017059,4%92,9%497
CPFF1169,90CAPITÂNIA REIT FOF - FUNDO DE INVESTIMENTO IMOBILIÁRIO17/03/2025Títulos e Valores Mobiliários56,30Títulos e Val. Mob.73,36Ativa1.441.080178.460.0002.553.07428/02/202531/12/20240,00%7,18%5,020,00%8,8%6,170,00%0,9673,100,18%17,76%-13,61%17.038.1004.433.19030,03%5.386.480-854.4413,57%12.804.9003.908.160-4,04%15.752.5002.297.770-18,62%190.341.000186.618.00017,76%-13,61%17.038.1004.433.19030,03%5.386.480-854.4413,57%12.804.9003.908.160-4,04%15.752.5002.297.770-18,62%190.341.000186.618.00000-0--0,0%-
CPTS117,57CAPITÂNIA SECURITIES II FUNDO DE INVESTIMENTO IMOBILIÁRIO RESPONSABILIDADE LIMITADA28/04/20255,83Títulos e Val. Mob.7,709.433.9002.405.960.000317.828.14028/02/202531/12/2024-0,26%8,02%0,616,35%12,0%0,925,48%0,878,741,32%16,11%-10,03%260.208.00069.111.20015,15%95.688.80014.515.400-2,13%192.912.00053.457.7006,32%291.766.00075.325.3005,77%3.161.480.0002.777.280.00016,11%-10,03%260.208.00069.111.20015,15%95.688.80014.515.400-2,13%192.912.00053.457.7006,32%291.766.00075.325.3005,77%3.161.480.0002.777.280.00000-0--0,0%-
CRFF1175,98CAIXA RIO BRAVO FUNDO DE FUNDOS DE INVESTIMENTO IMOBILIÁRIO II28/04/2025Títulos e Valores Mobiliários60,17Títulos e Val. Mob.76,36Ativa350.81452.429.200690.04028/02/202531/12/202411,67%9,50%7,2210,45%9,6%7,3719,77%0,9580,358,10%21,26%-6,56%5.833.7201.440.69028,66%174.34207,73%4.981.7101.251.500-15,30%5.085.6001.262.770-15,11%56.080.70055.443.60021,26%-6,56%5.833.7201.440.69028,66%174.34207,73%4.981.7101.251.500-15,30%5.085.6001.262.770-15,11%56.080.70055.443.60000-0--0,0%-
CTXT115,97FUNDO DE INVESTIMENTO IMOBILIÁRIO CENTRO TEXTIL INTERNACIONAL28/04/2025Renda5,70Lajes Corporativas9,68Passiva1.09523.411.0003.921.43428/02/202531/12/20242,05%-27,04%-1,613,11%0,0%0,001,36%0,2425,20-38,58%-7,73%-44,65%425.73198.575-0,68%00-36,34%-6.330.500-1.842.360-59,36%00-13,93%99.661.80098.812.600-7,73%-44,65%425.73198.575-0,68%00-36,34%-6.330.500-1.842.360-59,36%00-13,93%99.661.80098.812.600145.8080,5%13100,0%99,2%507
CVBI1184,10FUNDO DE INVESTIMENTO IMOBILIÁRIO - VBI CRI28/04/2025Títulos e Valores Mobiliários69,33Títulos e Val. Mob.86,12Ativa1.870.590925.960.00011.010.22828/02/202531/12/2024-2,21%13,45%11,311,51%13,5%11,452,05%0,9291,030,51%5,40%2,63%108.864.00027.492.10021,60%668-469-4,09%124.508.00031.550.20013,75%126.067.00034.682.20010,47%1.014.530.0001.002.220.0005,40%2,63%108.864.00027.492.10021,60%668-469-4,09%124.508.00031.550.20013,75%126.067.00034.682.20010,47%1.014.530.0001.002.220.00000-0--0,0%-
CXCE1138,60FUNDO DE INVESTIMENTO IMOBILIARIO CAIXA CEDAE28/04/2025Renda35,49Lajes Corporativas44,39Passiva12.33066.119.9001.712.95031/03/202531/12/2024-0,52%13,86%5,35-0,29%13,3%5,130,40%0,6163,34-13,05%4,41%-16,72%10.111.4002.595.8700,00%000,00%9.165.0602.355.4700,00%8.787.9802.278.9000,00%109.643.000108.490.0004,41%-16,72%10.111.4002.595.8700,00%000,00%9.165.0602.355.4700,00%8.787.9802.278.9000,00%109.643.000108.490.000119.93815,3%14780,0%94,0%3.118
CXRI1163,98CAIXA RIO BRAVO FUNDO DE FUNDOS DE INVESTIMENTO IMOBILIARIO - FII28/04/2025Títulos e Valores Mobiliários59,89Títulos e Val. Mob.78,51Ativa112.593100.817.0001.575.76028/02/202530/06/20230,31%11,14%7,132,29%11,0%7,082,29%0,8179,08-11,37%-1,03%-8,30%13.074.6003.273.54040,03%001,90%11.233.7002.811.910-46,49%11.156.4002.789.1000,94%125.935.000124.614.000-1,03%-8,30%13.074.6003.273.54040,03%001,90%11.233.7002.811.910-46,49%11.156.4002.789.1000,94%125.935.000124.614.00000-0--0,0%-
CXTL11229,54FUNDO DE INVESTIMENTO IMOBILIARIO CAIXA SEQ LOGISTICA RENDA28/04/2025Renda197,03Logística234,72Passiva6.55812.302.70053.59728/02/202531/12/20240,14%10,93%25,105,01%10,4%24,095,34%0,55415,007,92%9,78%-1,17%2.334.420581.892-4,98%0070,46%1.345.080314.4466,60%1.291.400353.6304,25%24.354.50022.243.0009,78%-1,17%2.334.420581.892-4,98%0070,46%1.345.080314.4466,60%1.291.400353.6304,25%24.354.50022.243.00016.57719,9%13450,0%92,6%1.732
DEVA1129,65DEVANT RECEBÍVEIS IMOBILIÁRIOS FUNDO DE INVESTIMENTO IMOBILIÁRIO28/04/2025Títulos e Valores Mobiliários23,64Títulos e Val. Mob.42,44Ativa567.710416.432.00014.044.90828/02/202531/12/2024-0,03%20,07%5,950,19%18,3%5,490,87%0,3195,53-26,28%7,43%-21,22%62.154.70013.030.900-43,15%2.270.540890.955-3,11%83.591.90017.127.20024,88%77.106.50017.556.10010,97%1.342.700.0001.341.700.0007,43%-21,22%62.154.70013.030.900-43,15%2.270.540890.955-3,11%83.591.90017.127.20024,88%77.106.50017.556.10010,97%1.342.700.0001.341.700.00000-0--0,0%-
DMAC1113,00MAC FUNDO DE INVESTIMENTO IMOBILIÁRIO24/09/2021Desenvolvimento para Venda0,00Residencial0,00Passiva02.029.400156.10830/11/202030/09/20210,00%-758,50%-98,610,00%0,0%0,000,00%2,614,990,00%0,00%0,00%16.3817.6870,00%1.364.4201.364.4200,00%-15.393.100-469.4893,33%00-18,30%818.292778.2580,00%0,00%16.3817.6870,00%1.364.4201.364.4200,00%-15.393.100-469.4893,33%00-18,30%818.292778.25800-0--0,0%-
DRIT1183,97MULTIGESTÃO RENDA COMERCIAL FUNDO DE INVESTIMENTO IMOBILIÁRIO DE RESPONSABILIDADE LIMITADA22/04/2025Desenvolvimento para Renda57,34Lajes Corporativas96,33Ativa11.94738.901.400463.27730/04/202431/12/20240,00%6,54%5,49-4,10%13,4%11,44-4,11%0,64130,7023,26%7,49%21,13%3.581.240782.708-5,40%9159150,00%2.545.510655.4890,00%5.299.890722.7120,00%60.585.50060.550.6007,49%21,13%3.581.240782.708-5,40%9159150,00%2.545.510655.4890,00%5.299.890722.7120,00%60.585.50060.550.60044.01310,2%76620,0%66,7%6.468
EDFO11118,98FII EDIFÍCIO OURINVEST25/04/2025Renda100,00Lajes Corporativas176,06Passiva6.28728.079.300236.00031/03/202531/12/20240,00%17,37%20,661,68%15,0%18,011,26%0,57210,44-24,93%-18,11%-13,15%5.463.0901.297.9909,89%000,00%4.876.7201.081.6900,00%4.250.550716.7780,00%49.804.70049.663.900-18,11%-13,15%5.463.0901.297.9909,89%000,00%4.876.7201.081.6900,00%4.250.550716.7780,00%49.804.70049.663.900135019,5%115.421100,0%98,5%78.997
EDGA1116,49FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII EDIFÍCIO GALERIA RESPONSABILIADADE LIMITADA28/04/2025Renda14,72Lajes Corporativas19,38Passiva9.13962.860.8003.812.05528/02/202531/12/2024-3,00%3,66%0,60-1,71%5,7%0,94-3,54%0,3546,95-12,64%6,26%-22,35%6.735.0301.880.36019,07%00-10,52%2.298.790134.095-20,42%3.582.0301.029.250-45,37%180.000.000178.980.0006,26%-22,35%6.735.0301.880.36019,07%00-10,52%2.298.790134.095-20,42%3.582.0301.029.250-45,37%180.000.000178.980.000124.84410,4%3326018,8%99,0%2.504
EURO11244,89FII EUROPAR28/04/2025Renda194,13Logística245,52Passiva26.99594.022.100383.93628/02/202531/12/2024-0,26%9,61%23,538,94%9,2%22,7411,16%0,74329,3110,55%17,93%-5,70%10.081.0002.521.15019,43%0021,83%9.035.7702.293.0002,90%8.730.7002.222.99010,13%129.952.000126.435.00017,93%-5,70%10.081.0002.521.15019,43%0021,83%9.035.7702.293.0002,90%8.730.7002.222.99010,13%129.952.000126.435.0007117.00810,7%9850,0%98,7%793
EVBI119,50CAPITÂNIA HBC RENDA URBANA FUNDO DE INVESTIMENTO IMOBILIÁRIO RESPONSABILIDADE LIMITADA06/11/2024Híbrido9,22Híbrido10,84Ativa0546.231.00057.498.03631/01/202531/12/20240,00%4,93%0,470,00%5,6%0,280,00%0,979,821,41%0,00%3,34%39.001.20017.010.40015,80%39.666.7001.383.0608,36%26.912.50011.520.100-6,39%16.243.30000,00%902.133.000564.532.0000,00%3,34%39.001.20017.010.40015,80%39.666.7001.383.0608,36%26.912.50011.520.100-6,39%16.243.30000,00%902.133.000564.532.0001199.9125,2%393430,5%120,1%6.566
FAED11136,70FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII ANHANGUERA EDUCACIONAL RESPONSABILIDADE LIMITADA28/04/2025Renda123,49Outros141,82Passiva75.36694.647.900692.37728/02/202531/12/20240,59%13,74%18,783,63%13,8%19,082,45%0,62222,062,07%8,29%-3,56%13.908.3003.535.97017,62%0013,16%13.001.3003.297.310-16,16%13.208.7003.323.410-30,39%154.792.000153.752.0008,29%-3,56%13.908.3003.535.97017,62%0013,16%13.001.3003.297.310-16,16%13.208.7003.323.410-30,39%154.792.000153.752.000445.24914,6%42990,0%98,0%2.049
FAMB11834,89FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII EDIFÍCIO ALMIRANTE BARROSO RESPONSABILIDADE LIMITADA28/04/2025Renda165,93Lajes Corporativas834,89Passiva30.984102.306.000122.53828/02/202531/12/20244,46%150,84%1.259,3812,82%45,9%1.047,0416,77%0,412.054,90322,93%34,80%213,74%5.586.2302.699.4300,00%000,00%154.322.000156.825.0000,00%128.302.0005.566.4900,00%257.447.000251.803.00034,80%213,74%5.586.2302.699.4300,00%000,00%154.322.000156.825.0000,00%128.302.0005.566.4900,00%257.447.000251.803.000159.4293,9%356098,0%88,6%1.525
FATN1177,63BRC Renda Corporativa Fundo de Investimento Imobiliário28/04/2025Renda73,03Híbrido87,90Ativa896.556328.728.0004.234.55228/02/202531/12/20241,97%9,11%7,074,35%12,8%8,604,61%0,7998,38-6,52%3,59%-5,00%36.475.5009.091.1209,00%49.125.00005,65%29.945.5008.045.9503,19%36.417.10010.162.9005,10%518.776.000416.576.0003,59%-5,00%36.475.5009.091.1209,00%49.125.00005,65%29.945.5008.045.9503,19%36.417.10010.162.9005,10%518.776.000416.576.0005416.4538,7%1122.0042,1%115,7%23.119
FCFL11119,00FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII CAMPUS FARIA LIMA RESPONSABILIDADE LIMITADA28/04/2025Renda100,75Outros119,29Ativa238.609413.407.0003.474.01028/02/202531/12/20243,48%8,66%10,316,68%8,5%10,256,77%0,97123,198,54%11,64%2,49%37.465.9009.433.78011,33%0016,86%35.815.9009.013.460-3,04%35.605.6008.997.690-6,77%430.360.000427.972.00011,64%2,49%37.465.9009.433.78011,33%0016,86%35.815.9009.013.460-3,04%35.605.6008.997.690-6,77%430.360.000427.972.000130.9689,0%51.1960,0%99,3%13.260
FEXC1183,50FUNDO DE INVESTIMENTO IMOBILIÁRIO - BTG PACTUAL CRÉDITO IMOBILIÁRIO25/11/2022Títulos e Valores Mobiliários0,00Títulos e Val. Mob.0,00Ativa08.310.020.00099.521.17228/02/202531/12/20240,00%1,31%1,100,00%0,0%0,000,00%8,449,890,00%0,00%0,00%118.146.00032.094.9000,00%8.398.5504.029.0206,40%109.177.00028.267.5004,10%00-7,54%985.862.000984.218.0000,00%0,00%118.146.00032.094.9000,00%8.398.5504.029.0206,40%109.177.00028.267.5004,10%00-7,54%985.862.000984.218.00000-0--0,0%-
FIGS1146,23GENERAL SHOPPING ATIVO E RENDA FUNDO DE INVESTIMENTO IMOBILIÁRIO28/04/2025Renda40,44Shoppings52,52Passiva183.820131.756.0002.850.00031/03/202531/12/2024-0,15%11,34%5,240,99%11,1%5,200,99%0,6176,09-10,98%2,78%-16,15%16.041.9003.877.42033,88%00-4,92%14.938.2003.604.350-8,17%14.820.0003.790.500-22,99%218.256.000216.852.0002,78%-16,15%16.041.9003.877.42033,88%00-4,92%14.938.2003.604.350-8,17%14.820.0003.790.500-22,99%218.256.000216.852.000261.49112,0%3272456,8%94,8%2.031
FIIB11502,10FUNDO DE INVESTIMENTO IMOBILIARIO INDUSTRIAL DO BRASIL28/04/2025Renda458,13Híbrido506,59Passiva185.102343.938.000685.00031/03/202531/12/20240,04%8,52%42,78-0,89%9,5%44,301,01%1,06475,374,98%5,11%3,11%32.701.4007.449.76021,22%0010,26%29.306.0006.666.100-6,67%30.345.5007.809.000-0,31%329.502.000325.631.0005,11%3,11%32.701.4007.449.76021,22%0010,26%29.306.0006.666.100-6,67%30.345.5007.809.000-0,31%329.502.000325.631.00011545.9019,6%79590,0%98,7%622
FIIP11143,99RB CAPITAL RENDA I FUNDO DE INVESTIMENTO IMOBILIARIO - FII28/04/2025Renda124,36Híbrido170,46Passiva325.070133.502.000927.16231/03/202531/12/20240,57%12,31%17,72-1,73%11,7%17,04-2,39%0,72199,02-12,06%10,69%-14,29%18.560.9004.633.64031,29%00-8,15%16.432.4004.072.350-4,23%15.798.8003.894.08011,01%186.169.000184.521.00010,69%-14,29%18.560.9004.633.64031,29%00-8,15%16.432.4004.072.350-4,23%15.798.8003.894.08011,01%186.169.000184.521.000768.43814,0%72670,0%98,0%1.911
FISC1167,00FUNDO DE INVESTIMENTO IMOBILIÁRIO SC 40125/04/2025Renda48,16Lajes Corporativas96,90Ativa537113.900.0001.699.99631/12/202431/12/20240,00%7,12%4,773,91%8,0%5,383,89%0,59114,25-16,79%-1,84%16,33%10.674.7002.903.530-58,45%485.05600,00%8.108.5402.266.7402,55%9.145.9802.481.9907,26%196.414.000194.225.000-1,84%16,33%10.674.7002.903.530-58,45%485.05600,00%8.108.5402.266.7402,55%9.145.9802.481.9907,26%196.414.000194.225.000412.3739,4%3408500,0%98,1%9.034
FLMA11136,00FII CONTINENTAL SQUARE FARIA LIMA28/04/2025Renda122,41Híbrido136,60Ativa91.249187.771.0001.380.67031/03/202531/12/2024-0,44%9,45%12,859,96%9,3%12,719,69%0,62220,406,20%6,27%0,05%22.155.1006.091.29012,45%0023,57%17.747.9005.152.500-14,71%17.548.3003.714.000-37,26%308.408.000304.302.0006,27%0,05%22.155.1006.091.29012,45%0023,57%17.747.9005.152.500-14,71%17.548.3003.714.000-37,26%308.408.000304.302.000211.55011,6%1371.8900,0%99,8%16.228
FLRP111.980,00HEDGE FLORIPA SHOPPING FUNDO DE INVESTIMENTO IMOBILIÁRIO28/04/2025Renda1.660,54Shoppings2.110,58Passiva19.618143.550.00072.50031/03/202531/12/20240,00%7,99%158,272,28%8,1%157,43-0,02%0,972.039,750,38%13,31%-2,24%12.493.9003.185.10038,54%0036,59%11.474.3002.931.7401,38%11.413.7003.045.000-19,99%149.097.000147.882.00013,31%-2,24%12.493.9003.185.10038,54%0036,59%11.474.3002.931.7401,38%11.413.7003.045.000-19,99%149.097.000147.882.000150.4698,7%1512451,1%98,7%2.808
FMOF1165,00FII MEMORIAL OFFICE22/04/2025Renda34,50Lajes Corporativas68,00Passiva193.72133.020.500508.00831/03/202531/12/20240,00%2,32%1,519,06%3,6%2,399,06%0,56115,9922,02%35,52%-10,77%2.886.490717.740-2,63%00-12,02%765.778269.497-4,99%1.214.140457.207-34,67%59.549.00058.921.60035,52%-10,77%2.886.490717.740-2,63%00-12,02%765.778269.497-4,99%1.214.140457.207-34,67%59.549.00058.921.600216.5948,6%9616815,6%98,3%1.957
FPAB11172,10FII PROJ AGUA BRANCA23/04/2025160,64Lajes Corporativas238,10166.116129.075.000750.00031/03/202531/12/20240,00%7,01%12,07-13,36%7,4%12,85-13,36%0,49354,18-8,36%-9,60%3,29%14.907.2003.755.91064,65%00-28,67%9.054.5402.786.410-32,30%9.637.5002.962.500-13,49%275.090.000265.637.000-9,60%3,29%14.907.2003.755.91064,65%00-28,67%9.054.5402.786.410-32,30%9.637.5002.962.500-13,49%275.090.000265.637.000235.81110,6%7637620,1%98,0%3.531
FVPQ1153,20FUNDO DE INVESTIMENTO IMOBILIÁRIO VIA PARQUE SHOPPING - FII28/04/2025Renda39,22Shoppings82,68Passiva73.121148.968.0002.800.14928/02/202531/12/2024-0,64%13,28%7,064,30%10,2%5,486,98%0,30174,49-35,59%32,20%-60,07%46.991.20011.495.60016,60%008,97%19.778.1003.271.210-20,44%15.344.8004.200.220-31,78%494.528.000488.605.00032,20%-60,07%46.991.20011.495.60016,60%008,97%19.778.1003.271.210-20,44%15.344.8004.200.220-31,78%494.528.000488.605.000156.50931,6%27282111,5%98,4%2.594
GALG119,08Fundo de Investimento Imobiliário Guardian Real Estate07/02/2024Renda0,00Híbrido0,00Ativa01.338.920.000147.458.22331/12/202431/12/20240,00%7,99%0,730,00%0,0%0,000,00%0,989,220,00%0,00%-1,00%105.857.00031.123.60012,18%7.275.45001,10%106.960.00034.638.2001,92%000,00%1.609.050.0001.360.020.0000,00%-1,00%105.857.00031.123.60012,18%7.275.45001,10%106.960.00034.638.2001,92%000,00%1.609.050.0001.360.020.00042.046.6538,4%3280,0%50,1%328
GCFF1169,30GALAPAGOS FUNDO DE FUNDOS - FII FUNDO DE INVESTIMENTO IMOBILIÁRIO27/06/2023Títulos e Valores Mobiliários0,00Títulos e Val. Mob.0,00Ativa024.981.100360.47730/06/202331/03/20230,00%12,04%8,340,00%0,0%0,000,00%0,8977,510,00%0,00%0,00%3.578.440872.5991,62%-32.670-36.00614,74%3.007.110748.142-20,87%009,07%28.015.10027.939.5000,00%0,00%3.578.440872.5991,62%-32.670-36.00614,74%3.007.110748.142-20,87%009,07%28.015.10027.939.50000-0--0,0%-
GGRC119,84GGR COVEPI RENDA FUNDO DE INVESTIMENTO IMOBILIÁRIO - RESPONSABILIDADE LIMITADA28/04/2025Híbrido8,72Logística10,20Ativa3.447.1801.203.290.000122.285.10031/03/202531/12/2024-0,30%9,10%0,900,82%11,5%1,06-1,48%0,8811,14-2,68%4,04%-3,88%121.515.00032.502.2009,19%0014,30%109.482.00028.902.500-13,02%129.969.00036.074.1000,95%1.645.140.0001.362.280.0004,04%-3,88%121.515.00032.502.2009,19%0014,30%109.482.00028.902.500-13,02%129.969.00036.074.1000,95%1.645.140.0001.362.280.00026739.5208,9%261600,0%109,9%1.788
GRLV11145,50GR LOUVEIRA FUNDO DE INVESTIMENTO IMOBILIÁRIO30/11/2020Renda0,00Logística0,00Passiva0156.199.0001.073.53030/09/202030/09/20200,00%5,72%8,320,00%0,0%0,000,00%24,385,970,00%0,00%0,00%10.185.2002.658.0600,00%000,00%8.935.5602.344.8000,00%0016,92%159.523.0006.407.8900,00%0,00%10.185.2002.658.0600,00%000,00%8.935.5602.344.8000,00%0016,92%159.523.0006.407.890155.202-161833,7%0,0%0
GTWR1169,11FUNDO DE INVESTIMENTO IMOBILIÁRIO GREEN TOWERS28/04/2025Renda65,07Lajes Corporativas77,32Ativa960.369829.320.00012.000.00031/03/202531/12/2024-0,85%14,20%9,81-1,58%13,8%9,64-1,86%0,6999,69-5,97%1,43%-7,84%124.252.00031.447.60023,40%1.658.110462.595-0,58%117.772.00029.955.400-12,92%115.680.00029.880.0002,58%1.206.880.0001.196.300.0001,43%-7,84%124.252.00031.447.60023,40%1.658.110462.595-0,58%117.772.00029.955.400-12,92%115.680.00029.880.0002,58%1.206.880.0001.196.300.0003163.07915,3%547620,0%98,0%4.985
HABT1182,27HABITAT RECEBÍVEIS PULVERIZADOS FUNDO DE INVESTIMENTO IMOBILIÁRIO28/04/2025Títulos e Valores Mobiliários62,45Títulos e Val. Mob.82,27Ativa773.371668.590.0008.126.78328/02/202531/12/20240,78%13,51%11,120,48%16,2%12,252,18%0,8893,263,81%10,77%-0,89%70.128.30017.860.90017,83%5.743.5301.806.380-6,25%90.349.90022.802.9009,47%99.553.10025.843.20015,82%766.897.000757.903.00010,77%-0,89%70.128.30017.860.90017,83%5.743.5301.806.380-6,25%90.349.90022.802.9009,47%99.553.10025.843.20015,82%766.897.000757.903.00000-0--0,0%-
HBRH1190,80V2 MULTI RENDA FUNDO DE INVESTIMENTO IMOBILIÁRIO RESPONSABILIDADE LIMITADA31/01/2024Renda0,00Híbrido0,00Ativa0256.345.0002.823.18031/12/202431/12/20240,00%4,63%4,210,00%0,0%0,000,00%0,81112,120,00%0,00%-1,11%20.386.5005.726.83015,66%1001005,70%11.875.2002.872.820-2,95%005,95%349.923.000316.529.0000,00%-1,11%20.386.5005.726.83015,66%1001005,70%11.875.2002.872.820-2,95%005,95%349.923.000316.529.000533.1537,3%2826072,8%108,0%8.350
HCRI11254,80FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII HOSPITAL DA CRIANÇA RESPONSABILIDADE LIMITADA28/04/2025Renda207,80Hospital272,36Passiva35.13750.960.000200.00028/02/202531/12/20240,56%12,06%30,745,16%12,1%31,24-0,18%0,78325,88-3,91%-3,07%1,43%6.788.1001.751.54051,03%00-32,34%6.147.8201.510.510-17,52%6.248.5601.628.94011,37%66.001.90065.175.400-3,07%1,43%6.788.1001.751.54051,03%00-32,34%6.147.8201.510.510-17,52%6.248.5601.628.94011,37%66.001.90065.175.40015.51813,1%11.2040,0%99,2%9.158
HCTR1121,73HECTARE CE - FUNDO DE INVESTIMENTO IMOBILIARIO28/04/2025Títulos e Valores Mobiliários15,22Títulos e Val. Mob.29,19Ativa1.528.940479.890.00022.084.20328/02/202531/12/20240,56%21,15%4,607,03%21,2%4,696,25%0,22101,06-19,62%30,47%-47,54%95.541.90020.613.800-56,16%3.263.0501.433.230-7,61%101.487.00021.078.60017,69%103.575.00020.759.20046,95%2.232.440.0002.231.810.00030,47%-47,54%95.541.90020.613.800-56,16%3.263.0501.433.230-7,61%101.487.00021.078.60017,69%103.575.00020.759.20046,95%2.232.440.0002.231.810.00000-0--0,0%-
HFOF1158,90HEDGE TOP FOFII 3 FUNDO DE INVESTIMENTO IMOBILIÁRIO28/04/2025Títulos e Valores Mobiliários50,04Títulos e Val. Mob.69,13Ativa2.029.8401.357.410.00023.046.00031/03/202531/12/20242,61%11,03%6,498,11%12,0%7,139,12%0,8668,39-13,75%6,18%-19,89%160.243.00036.668.10027,47%15.700.4002.374.110-6,37%149.674.00033.958.000-15,49%164.308.00038.716.400-7,90%1.589.790.0001.576.230.0006,18%-19,89%160.243.00036.668.10027,47%15.700.4002.374.110-6,37%149.674.00033.958.000-15,49%164.308.00038.716.400-7,90%1.589.790.0001.576.230.00000-0--0,0%-
HGBS11194,40HEDGE BRASIL SHOPPING FUNDO DE INVESTIMENTO IMOBILIÁRIO28/04/2025Renda170,07Shoppings204,09Ativa2.506.5402.510.350.00012.913.30131/03/202531/12/2024-1,48%8,16%15,870,09%10,0%19,443,66%0,90215,46-3,30%8,18%-11,31%248.189.00060.240.20033,35%53.031.500-404.7037,48%204.963.00048.775.400-7,36%251.021.00061.983.800-25,58%3.135.130.0002.782.300.0008,18%-11,31%248.189.00060.240.20033,35%53.031.500-404.7037,48%204.963.00048.775.400-7,36%251.021.00061.983.800-25,58%3.135.130.0002.782.300.00016473.7248,9%24923914,9%82,8%4.390
HGCR1196,81PÁTRIA RECEBÍVEIS IMOBILIÁRIOS - FUNDO DE INVESTIMENTO IMOBILIÁRIO - RESPONSABILIDADE LIMITADA28/04/2025Títulos e Valores Mobiliários82,72Títulos e Val. Mob.96,95Ativa2.287.7901.492.630.00015.418.10631/03/202531/12/2024-0,14%11,99%11,601,80%12,0%11,702,45%1,0196,294,55%4,24%3,14%179.827.00037.355.40017,47%-4.294.560-6.372.06010,33%178.918.00046.100.80014,20%180.392.00048.567.000-17,32%1.529.370.0001.484.650.0004,24%3,14%179.827.00037.355.40017,47%-4.294.560-6.372.06010,33%178.918.00046.100.80014,20%180.392.00048.567.000-17,32%1.529.370.0001.484.650.00000-0--0,0%-
HGFF1173,09PATRIA IMOBILIÁRIO FOF - FUNDO DE INVESTIMENTO IMOBILIÁRIO - RESPONSABILIDADE LIMITADA28/04/2025Títulos e Valores Mobiliários61,92Títulos e Val. Mob.79,81Ativa307.304209.300.0002.863.59731/03/202531/12/20241,87%12,06%8,816,90%12,2%8,997,60%0,9081,18-5,63%7,83%-10,42%6.584.350125.47335,52%231.127-119.9074,66%25.233.6008.876.690-13,00%25.743.7005.841.740-10,13%240.507.000232.455.0007,83%-10,42%6.584.350125.47335,52%231.127-119.9074,66%25.233.6008.876.690-13,00%25.743.7005.841.740-10,13%240.507.000232.455.00000-0--0,0%-
HGLG11159,50PÁTRIA LOG - FUNDO DE INVESTIMENTO IMOBILIÁRIO - RESPONSABILIDADE LIMITADA28/04/2025Renda138,71Logística160,41Ativa6.687.3805.389.120.00033.787.57531/03/202531/12/2024-0,57%6,85%10,925,17%8,2%13,205,75%0,98162,705,66%5,15%4,59%440.931.000110.902.0009,21%74.146.70015.164.3006,84%369.120.000100.085.0004,04%445.996.000111.499.000-1,27%6.601.400.0005.497.300.0005,15%4,59%440.931.000110.902.0009,21%74.146.70015.164.3006,84%369.120.000100.085.0004,04%445.996.000111.499.000-1,27%6.601.400.0005.497.300.000271.604.2427,6%292486,7%97,5%3.276
HGPO11132,05PATRIA PRIME OFFICES - FUNDO DE INVESTIMENTO IMOBILIÁRIO - RESPONSABILIDADE LIMITADA28/04/2025Renda112,43Lajes Corporativas133,00Passiva223.826231.491.0001.753.05731/03/202531/12/2024-0,26%8,28%10,94-0,23%20,6%11,800,33%0,97136,1216,37%3,28%23,88%32.415.9003.184.80015,45%239.680.000239.680.00016,64%19.172.200-6.789.79014,69%20.686.10006,24%248.298.000238.630.0003,28%23,88%32.415.9003.184.80015,45%239.680.000239.680.00016,64%19.172.200-6.789.79014,69%20.686.10006,24%248.298.000238.630.00000-0--0,0%-
HGRE11118,03PATRIA ESCRITÓRIOS - FUNDO DE INVESTIMENTO IMOBILIÁRIO - RESPONSABILIDADE LIMITADA28/04/2025Renda90,53Lajes Corporativas118,99Ativa1.801.0501.394.850.00011.817.76731/03/202531/12/2024-0,81%6,27%7,406,89%8,6%10,2910,86%0,77154,214,33%17,67%-14,93%129.297.00034.011.90017,42%33.435.4003.703.810-1,73%87.468.70024.009.600-7,24%121.605.00030.135.300-16,25%1.892.480.0001.822.420.00017,67%-14,93%129.297.00034.011.90017,42%33.435.4003.703.810-1,73%87.468.70024.009.600-7,24%121.605.00030.135.300-16,25%1.892.480.0001.822.420.00014176.1069,5%15469722,9%92,9%7.356
HGRU11122,32PÁTRIA RENDA URBANA - FUNDO DE INVESTIMENTO IMOBILIÁRIO - RESPONSABILIDADE LIMITADA28/04/2025Renda104,05Híbrido123,49Ativa4.621.0602.842.480.00023.238.02431/03/202531/12/2024-0,95%8,12%9,932,91%9,6%10,764,26%0,96127,141,90%7,91%-6,66%205.816.00058.465.90025,95%10.339.700-12.197.90012,45%230.800.000101.297.000-1,68%249.959.00062.742.7006,43%3.413.470.0002.954.520.0007,91%-6,66%205.816.00058.465.90025,95%10.339.700-12.197.90012,45%230.800.000101.297.000-1,68%249.959.00062.742.7006,43%3.413.470.0002.954.520.000106621.8406,7%1482990,8%98,1%4.483
HLOG1182,45HEDGE LOGÍSTICA FUNDO DE INVESTIMENTO IMOBILIÁRIO28/04/2025Renda73,52Logística83,23Ativa51.100350.413.0004.250.00031/03/202531/12/2024-0,01%5,33%4,395,45%7,0%5,795,55%0,75110,327,34%5,04%0,67%43.801.00010.238.1003,54%4.231.5501.616.8403,60%18.677.0002.624.310-15,10%24.607.5008.287.5001,61%632.680.000468.859.0005,04%0,67%43.801.00010.238.1003,54%4.231.5501.616.8403,60%18.677.0002.624.310-15,10%24.607.5008.287.5001,61%632.680.000468.859.0004217.81010,7%341853,0%106,8%1.719
HMOC11226,95HEDGE SHOPPING PRAÇA DA MOÇA FUNDO DE INVESTIMENTO IMOBILIÁRIO01/03/2021Renda0,00Shoppings0,00Passiva086.698.800382.01731/03/202131/03/20210,00%2,17%4,930,00%0,0%0,000,00%0,95238,790,00%0,00%0,00%2.837.9401.064.9100,00%54.998.80054.998.8000,00%1.882.740751.7460,75%00-6,96%91.692.30091.223.5000,00%0,00%2.837.9401.064.9100,00%54.998.80054.998.8000,00%1.882.740751.7460,75%00-6,96%91.692.30091.223.500003,3%0--99,3%-
HOSI1186,29FUNDO DE INVESTIMENTO IMOBILIÁRIO HOUSI28/04/2025Híbrido76,58Híbrido97,49Ativa261.26449.483.000573.45031/12/202431/12/20240,00%9,72%8,394,70%9,1%7,952,84%0,9590,814,05%1,81%6,47%42.891077,40%59.30212.786-14,63%4.810.8401.036.330-16,85%4.558.5601.061.110-2,83%54.619.50052.072.6001,81%6,47%42.891077,40%59.30212.786-14,63%4.810.8401.036.330-16,85%4.558.5601.061.110-2,83%54.619.50052.072.60026.592-24900,0%0,0%0
HPDP1188,00HEDGE SHOPPING PARQUE DOM PEDRO FUNDO DE INVESTIMENTO IMOBILIÁRIO28/04/2025Renda79,36Shoppings95,00Passiva2.634.970289.344.0003.288.00031/03/202531/12/20242,54%7,24%6,370,64%7,3%6,480,42%0,9493,265,34%10,89%-0,57%22.780.6006.223.29027,39%001,64%20.949.2005.764.240-7,74%21.306.2005.523.840-19,94%308.941.000306.643.00010,89%-0,57%22.780.6006.223.29027,39%001,64%20.949.2005.764.240-7,74%21.306.2005.523.840-19,94%308.941.000306.643.0001126.2627,7%3881641,0%93,2%2.135
HRDF113,19HEDGE REALTY DEVELOPMENT FUNDO DE INVESTIMENTO IMOBILIÁRIO22/04/2025Desenvolvimento para Venda3,00Híbrido3,86Ativa924.840.5901.517.42531/03/202531/12/20240,00%-0,24%-0,016,33%0,0%0,006,33%0,417,74-19,04%4,59%-10,29%258.58056.170-27,66%00-17,54%-11.483-43.638-25,00%00-27,62%11.775.50011.738.2004,59%-10,29%258.58056.170-27,66%00-17,54%-11.483-43.638-25,00%00-27,62%11.775.50011.738.20000-0--0,0%-
HREC118,36HEDGE RECEBÍVEIS IMOBILIÁRIOS FUNDO DE INVESTIMENTO IMOBILIÁRIO28/04/2025Títulos e Valores Mobiliários6,94Títulos e Val. Mob.8,61Ativa645.790432.094.00051.685.91731/03/202531/12/20240,12%11,08%0,93-2,90%11,7%0,990,09%0,978,599,66%11,36%-2,12%59.974.20012.973.20025,55%1.257.310879.952-5,70%47.858.6009.998.7809,02%51.102.80013.955.2000,00%478.514.000443.897.00011,36%-2,12%59.974.20012.973.20025,55%1.257.310879.952-5,70%47.858.6009.998.7809,02%51.102.80013.955.2000,00%478.514.000443.897.00000-0--0,0%-
HSAF1181,81HSI ATIVOS FINANCEIROS - FUNDO DE INVESTIMENTO IMOBILIÁRIO28/04/2025Títulos e Valores Mobiliários58,82Títulos e Val. Mob.81,85Ativa289.865206.682.0002.526.36031/03/202531/12/2024-0,05%13,52%11,063,46%13,3%11,002,15%0,9387,6912,05%23,43%-8,49%27.331.8007.884.20025,02%179.5700-3,66%27.948.6008.076.92015,70%27.790.0007.200.1300,04%224.136.000221.538.00023,43%-8,49%27.331.8007.884.20025,02%179.5700-3,66%27.948.6008.076.92015,70%27.790.0007.200.1300,04%224.136.000221.538.00000-0--0,0%-
HSLG1182,89HSI LOGÍSTICA FUNDO DE INVESTIMENTO IMOBILIÁRIO28/04/2025Renda67,07Logística84,23Ativa506.4511.049.390.00012.660.06731/03/202531/12/20240,17%10,72%8,88-0,84%10,3%8,613,17%0,78106,401,33%12,26%-14,21%137.624.00032.362.30022,42%259.53800,82%112.473.00026.660.900-4,87%109.003.00024.687.100-0,28%1.745.030.0001.347.040.00012,26%-14,21%137.624.00032.362.30022,42%259.53800,82%112.473.00026.660.900-4,87%109.003.00024.687.100-0,28%1.745.030.0001.347.040.0005456.80011,2%362780,0%108,4%2.490
HSML1184,50HSI MALLS FUNDO DE INVESTIMENTO IMOBILIÁRIO DE RESPONSABILIDADE LIMITADA28/04/2025Renda67,57Shoppings90,12Ativa2.299.1401.758.320.00020.808.57231/03/202531/12/2024-1,01%8,20%6,931,43%10,7%9,104,54%0,77109,09-1,29%20,16%-16,33%230.221.00055.443.60030,79%35.811.00009,90%144.162.00037.622.900-8,09%189.461.00040.576.700-22,03%2.927.750.0002.270.100.00020,16%-16,33%230.221.00055.443.60030,79%35.811.00009,90%144.162.00037.622.900-8,09%189.461.00040.576.700-22,03%2.927.750.0002.270.100.00013263.57111,3%11948352,9%110,4%7.363
HTMX11140,61FII HOTEL MAXINVEST28/04/2025Renda134,66Hotel171,33Ativa1.019.340406.095.0002.888.09431/03/202531/12/2024-0,28%3,03%4,26-1,37%16,5%16,50-1,81%0,97145,490,73%-7,39%2,66%23.638.0008.265.530110,79%31.450.00011.335.00030,73%12.313.6004.427.210-30,09%47.666.0008.693.480-32,03%423.107.000420.185.000-7,39%2,66%23.638.0008.265.530110,79%31.450.00011.335.00030,73%12.313.6004.427.210-30,09%47.666.0008.693.480-32,03%423.107.000420.185.0002042.9205,4%4564900,0%96,3%9.115
HUSC1195,00FUNDO DE INVESTIMENTO IMOBILIARIO HOSPITAL UNIMED SUL CAPIXABA28/04/2025Desenvolvimento para Renda86,74Outros118,22Passiva7.51480.828.000850.82131/03/202531/03/2025-2,21%11,71%11,13-1,47%11,1%10,62-2,20%0,62152,39-6,90%9,53%-13,88%11.443.3002.871.07021,17%00-6,49%9.467.0802.391.070-13,34%9.035.7202.263.1800,04%133.914.000129.659.0009,53%-13,88%11.443.3002.871.07021,17%00-6,49%9.467.0802.391.070-13,34%9.035.7202.263.1800,04%133.914.000129.659.000173.27014,3%11550,0%98,4%1.085
IBFF1166,40FUNDO DE INVESTIMENTO IMOBILIARIO FOF INTEGRAL BREI17/08/2022Títulos e Valores Mobiliários0,00Títulos e Val. Mob.0,00Ativa044.267.600666.68113/06/202231/03/20220,00%8,28%5,500,00%0,0%0,000,00%0,9371,260,00%0,00%0,00%4.532.9301.190.4400,00%358.0491.36318,29%3.665.930991.919-21,47%00-11,84%47.793.80047.509.3000,00%0,00%4.532.9301.190.4400,00%358.0491.36318,29%3.665.930991.919-21,47%00-11,84%47.793.80047.509.30000-0--0,0%-
IFIE1171,98INTER TEVA ÍNDICE DE TIJOLO FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII04/01/2022Renda0,00Títulos e Val. Mob.0,00Passiva064.817.600900.49431/01/202531/12/20240,00%12,86%9,260,00%0,0%0,000,00%1,0469,290,00%0,00%0,00%8.951.7601.780.9200,00%3.7930-0,79%8.338.2501.657.810-19,91%00-2,85%63.036.50062.394.1000,00%0,00%8.951.7601.780.9200,00%3.7930-0,79%8.338.2501.657.810-19,91%00-2,85%63.036.50062.394.10000-0--0,0%-
IRDM1168,15FUNDO DE INVESTIMENTO IMOBILIARIO IRIDIUM RECEBIVEIS IMOBILIARIOS28/04/2025Títulos e Valores Mobiliários55,42Títulos e Val. Mob.70,44Ativa2.902.8102.482.970.00036.433.82731/03/202531/12/20240,41%14,28%9,73-3,14%13,4%9,25-1,31%0,8481,262,89%14,00%-13,10%386.497.000101.818.0000,16%815.9902.096.470-3,08%354.453.00094.545.2001,50%337.013.00082.704.80031,58%3.043.230.0002.960.460.00014,00%-13,10%386.497.000101.818.0000,16%815.9902.096.470-3,08%354.453.00094.545.2001,50%337.013.00082.704.80031,58%3.043.230.0002.960.460.00000-0--0,0%-
JPPA1179,93JPP CAPITAL RECEBÍVEIS IMOBILIÁRIOS FUNDO DE INVESTIMENTO IMOBILIÁRIO28/04/2025Títulos e Valores Mobiliários67,99Híbrido85,49Ativa89.85972.260.700904.05031/03/202531/03/20250,82%15,65%12,51-4,25%15,5%12,59-4,81%0,8494,835,69%9,34%-5,97%12.431.2003.083.6404,58%0032,16%11.308.9002.821.98011,38%11.382.0002.820.640-5,71%86.901.80085.733.0009,34%-5,97%12.431.2003.083.6404,58%0032,16%11.308.9002.821.98011,38%11.382.0002.820.640-5,71%86.901.80085.733.00000-0--0,0%-
JRDM1185,90FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII SHOPPING JARDIM SUL03/07/2023Renda0,00Shoppings0,00Passiva0216.723.0002.522.96830/06/202331/03/20230,00%7,97%6,840,00%0,0%0,000,00%0,9689,280,00%0,00%0,00%19.905.7004.605.84012,04%0027,55%17.265.5004.298.6000,54%00-31,70%226.444.000225.244.0000,00%0,00%19.905.7004.605.84012,04%0027,55%17.265.5004.298.6000,54%00-31,70%226.444.000225.244.000128.7479,1%1646711,2%98,1%7.395
JSRE1163,00JS REAL ESTATE MULTIGESTÃO FUNDO DE INVESTIMENTO IMOBILIÁRIO - RESPONSABILIDADE LIMITADA28/04/2025Híbrido50,31Híbrido65,97Ativa1.490.8201.308.340.00020.767.32831/03/202531/12/2024-0,11%9,30%5,866,03%9,1%5,768,45%0,62101,91-0,19%14,30%-17,33%152.396.00045.828.10011,20%-481.588-1.868.400-4,86%121.674.00035.419.300-10,45%119.620.00029.905.000-14,38%2.262.550.0002.116.480.00014,30%-17,33%152.396.00045.828.10011,20%-481.588-1.868.400-4,86%121.674.00035.419.300-10,45%119.620.00029.905.000-14,38%2.262.550.0002.116.480.0006121.93610,1%2561.1283,6%104,3%11.194
KFOF1179,51FUNDO DE FUNDOS DE INVESTIMENTO IMOBILIÁRIO KINEA FII RESPONSABILIDADE LIMITADA28/04/2025Títulos e Valores Mobiliários64,38Títulos e Val. Mob.89,04Ativa1.270.770557.728.0007.014.56531/03/202531/12/20241,82%10,13%8,056,01%11,3%9,107,01%0,9286,26-10,21%16,86%-19,44%62.674.30019.911.70038,90%2.042.670-1.019.96011,95%56.471.40018.433.200-21,68%63.831.80015.782.800-28,77%610.863.000605.091.00016,86%-19,44%62.674.30019.911.70038,90%2.042.670-1.019.96011,95%56.471.40018.433.200-21,68%63.831.80015.782.800-28,77%610.863.000605.091.00000-0--0,0%-
KINP119,82EVEN PERMUTA KINEA FII - FUNDO DE INVESTIMENTO IMOBILIÁRIO10/04/2023Desenvolvimento para Venda0,00Residencial0,00Ativa00027/06/202331/03/20230,00%--0,00%0,0%-0,00%0,00-0,00%0,00%0,00%359.33186.59349,07%18.141.9003.551.060-2,14%-561.684-86.79030,66%004,38%000,00%0,00%359.33186.59349,07%18.141.9003.551.060-2,14%-561.684-86.79030,66%004,38%0010---0,0%-
KISU117,17KILIMA FUNDO DE INVESTIMENTO EM COTAS DE FUNDOS IMOBILIÁRIOS SUNO 30 RESPONSABILIDADE LIMITADA28/04/2025Títulos e Valores Mobiliários6,30Títulos e Val. Mob.7,78Ativa466.875316.886.00044.196.05031/03/202531/12/2024-0,83%11,43%0,821,71%11,6%0,842,28%0,917,90-4,51%5,12%-8,76%941.981281.16219,27%1.854.14060.00811,77%36.207.3008.863.140-2,82%37.257.3009.281.1700,00%352.453.000349.148.0005,12%-8,76%941.981281.16219,27%1.854.14060.00811,77%36.207.3008.863.140-2,82%37.257.3009.281.1700,00%352.453.000349.148.00000-0--0,0%-
KNCR11103,00KINEA RENDIMENTOS IMOBILIARIOS FUNDO DE INVESTIMENTO IMOBILIARIO - FII28/04/2025Títulos e Valores Mobiliários91,68Títulos e Val. Mob.103,97Ativa10.555.5007.888.160.00076.584.03031/03/202531/12/2024-0,41%8,73%8,99-0,63%11,5%10,92-0,44%1,01101,7011,55%4,20%10,88%841.331.000212.760.00021,41%1.132.80009,47%688.451.000190.578.00023,57%836.575.000243.469.000-13,99%8.601.460.0007.788.650.0004,20%10,88%841.331.000212.760.00021,41%1.132.80009,47%688.451.000190.578.00023,57%836.575.000243.469.000-13,99%8.601.460.0007.788.650.00000-0--0,0%-
KNHY11102,32KINEA HIGH YIELD CRI FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII28/04/2025Títulos e Valores Mobiliários89,60Títulos e Val. Mob.102,32Ativa2.908.9002.882.300.00028.169.50731/03/202531/12/20240,92%9,08%9,291,12%12,6%13,092,58%1,0597,849,45%5,51%11,95%305.049.000115.645.00020,30%14.822.800429.6831,76%261.761.000105.430.0009,05%368.739.00099.438.4004,40%2.979.080.0002.756.150.0005,51%11,95%305.049.000115.645.00020,30%14.822.800429.6831,76%261.761.000105.430.0009,05%368.739.00099.438.4004,40%2.979.080.0002.756.150.00000-0--0,0%-
KNIP1191,13KINEA ÍNDICES DE PREÇOS FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII28/04/2025Títulos e Valores Mobiliários81,39Títulos e Val. Mob.91,13Ativa6.059.6407.297.530.00080.078.18631/03/202531/12/20240,19%14,19%12,930,97%11,5%10,630,99%1,0190,595,83%5,54%5,33%1.127.160.000229.674.00015,58%20.959.1006.848-0,54%1.035.310.000210.147.0003,79%851.231.000236.231.0006,19%7.918.930.0007.254.410.0005,54%5,33%1.127.160.000229.674.00015,58%20.959.1006.848-0,54%1.035.310.000210.147.0003,79%851.231.000236.231.0006,19%7.918.930.0007.254.410.00000-0--0,0%-
KNRE110,31KINEA II REAL ESTATE EQUITY FII28/04/2025Desenvolvimento para Venda0,04Residencial0,34Ativa5.6195.749.62018.547.16131/03/202531/12/20240,00%-4,78%-0,01585,84%0,0%0,00585,84%0,470,67200,97%393,63%-39,03%94.35049.415-9,33%00138,16%-275.022-27.149-29,75%00-22,40%14.910.00012.352.300393,63%-39,03%94.35049.415-9,33%00138,16%-275.022-27.149-29,75%00-22,40%14.910.00012.352.30000-0--0,0%-
KNRI11146,69KINEA RENDA IMOBILIÁRIA FUNDO DE INVESTIMENTO IMOBILIÁRIO RESPONSABILIDADE LIMITADA28/04/2025Renda121,40Híbrido152,08Ativa8.485.9604.137.250.00028.204.04731/03/202531/12/2024-0,31%7,33%10,768,89%8,1%11,9410,93%0,91161,22-2,44%10,39%-10,27%336.495.00092.924.30027,88%006,48%303.374.00084.612.300-7,27%336.860.00084.612.100-14,05%4.979.550.0004.547.150.00010,39%-10,27%336.495.00092.924.30027,88%006,48%303.374.00084.612.300-7,27%336.860.00084.612.100-14,05%4.979.550.0004.547.150.00020768.6727,1%4963650,1%95,5%5.141
KNSC118,66KINEA SECURITIES FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII28/04/2025Títulos e Valores Mobiliários7,57Títulos e Val. Mob.8,73Ativa5.065.9301.751.070.000202.202.38531/03/202531/12/2024-0,23%6,32%0,550,81%12,2%0,891,75%1,008,696,49%2,55%8,38%144.275.00041.773.00019,00%705.99266.661-1,05%110.667.00028.944.20020,27%179.722.00058.638.7001,54%1.962.040.0001.757.300.0002,55%8,38%144.275.00041.773.00019,00%705.99266.661-1,05%110.667.00028.944.20020,27%179.722.00058.638.7001,54%1.962.040.0001.757.300.00000-0--0,0%-
LASC11100,90LEGATUS SHOPPINGS FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII28/04/2025Renda99,13Shoppings115,34Passiva1.412.980296.676.0002.940.29831/03/202531/12/20240,90%7,41%7,480,72%8,4%8,65-0,29%0,71142,850,96%-3,25%14,26%27.264.1006.842.46018,68%0021,91%21.990.7005.580.710-3,47%25.447.20010.820.3003,03%423.242.000420.019.000-3,25%14,26%27.264.1006.842.46018,68%0021,91%21.990.7005.580.710-3,47%25.447.20010.820.3003,03%423.242.000420.019.000224.78810,0%2841.0643,8%89,3%10.684
LATR11B9,51LATERES FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII15/03/2023Desenvolvimento para Venda0,00Residencial0,00Ativa01.180.230124.104-31/12/20220,00%-16,36%-1,560,00%0,0%0,000,00%0,9010,590,00%0,00%0,00%65.67731.208-4,90%00-93,33%-193.047-15.515-12,45%00-66,69%1.334.8201.314.8100,00%0,00%65.67731.208-4,90%00-93,33%-193.047-15.515-12,45%00-66,69%1.334.8201.314.81000-0--0,0%-
LFTT114,19LOFT II FUNDO DE INVESTIMENTO IMOBILIÁRIO28/04/20251,22Outros8,7549.63413.680.4003.265.000-31/12/2024-0,24%-16,58%-0,69-40,73%0,0%0,00-49,99%0,2715,29-2,72%-0,65%-4,75%110.027110.0278,19%781.360781.36026,75%-2.268.390-1.287.86016,14%003,30%51.182.70049.926.900-0,65%-4,75%110.027110.0278,19%781.360781.36026,75%-2.268.390-1.287.86016,14%003,30%51.182.70049.926.900656.1940,0%6400,0%95,4%2.107
LGCP1182,95INTER LOGÍSTICO FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII24/09/2024Renda81,21Logística85,76Ativa0374.279.0004.512.10331/01/202530/06/20240,00%11,25%9,330,00%5,2%3,630,00%0,82100,88-3,06%0,00%-0,59%45.078.70016.499.80020,25%386.86602,71%42.113.50015.366.500-6,56%16.372.0000-16,04%544.720.000455.202.0000,00%-0,59%45.078.70016.499.80020,25%386.86602,71%42.113.50015.366.500-6,56%16.372.0000-16,04%544.720.000455.202.0005118.18112,1%233750,8%97,8%3.098
LOFT11B29,90LOFT I FUNDO DE INVESTIMENTO IMOBILIÁRIO01/04/20210,00Outros0,00058.678.8001.962.500-31/12/20240,00%-1,31%-0,390,00%0,0%0,000,00%12,702,350,00%0,00%0,00%47.93047.9300,00%-104.784-104.7840,00%-766.738-317.39011,51%003,16%4.721.3304.620.7200,00%0,00%47.93047.9300,00%-104.784-104.7840,00%-766.738-317.39011,51%003,16%4.721.3304.620.72036170,1%3590,0%91,5%87.020
LUGG1172,82INTER RESIDENCE FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII27/09/2024Renda71,81Residencial76,04Ativa082.338.0001.130.70631/01/202531/12/20240,00%11,94%8,690,00%4,8%3,490,00%0,62117,66-4,74%0,00%-6,41%13.723.6002.761.28023,46%00-9,04%9.827.9402.095.630-9,51%3.946.1600-10,79%133.998.000133.035.0000,00%-6,41%13.723.6002.761.28023,46%00-9,04%9.827.9402.095.630-9,51%3.946.1600-10,79%133.998.000133.035.000525.60016,9%4905293,3%97,4%3.133
LVBI11101,54FUNDO DE INVESTIMENTO IMOBILIARIO - VBI LOGISTICO28/04/2025Renda85,68Logística108,63Ativa2.440.8401.636.680.00016.118.56528/02/202531/12/2024-1,06%10,00%10,16-2,03%10,0%10,23-1,01%0,81124,79-2,20%8,12%-9,19%184.280.00047.236.10025,04%008,84%163.739.00040.433.600-8,09%164.893.00038.845.700-2,79%2.028.180.0002.011.420.0008,12%-9,19%184.280.00047.236.10025,04%008,84%163.739.00040.433.600-8,09%164.893.00038.845.700-2,79%2.028.180.0002.011.420.00010396.76210,5%433090,9%71,1%2.932
MALL11102,40GENIAL MALLS FUNDO DE INVESTIMENTO IMOBILIÁRIO28/04/2025Híbrido86,58Híbrido105,82Ativa3.163.4301.431.770.00013.982.09328/02/202531/12/20240,35%11,78%12,062,57%9,5%9,283,21%0,84121,72-1,39%11,02%-12,01%178.965.00071.206.00025,35%38.085.1001.559.52017,21%168.659.00058.087.200-2,23%129.690.00035.374.700-12,56%1.882.290.0001.701.870.00011,02%-12,01%178.965.00071.206.00025,35%38.085.1001.559.52017,21%168.659.00058.087.200-2,23%129.690.00035.374.700-12,56%1.882.290.0001.701.870.00012278.38411,3%14285373,6%92,0%4.734
MAXR1165,59FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII MAX RETAIL RESPONSABILIDADE LIMITADA28/04/2025Híbrido56,43Híbrido66,43Ativa630.48573.831.7001.125.65528/02/202531/12/20240,11%10,65%6,98-0,14%29,1%14,061,01%0,63104,478,84%3,03%16,04%8.489.1502.209.49023,73%16.500.0000-11,05%7.862.5901.152.040-9,69%15.830.8001.075.950-11,89%118.164.000117.599.0003,03%16,04%8.489.1502.209.49023,73%16.500.0000-11,05%7.862.5901.152.040-9,69%15.830.8001.075.950-11,89%118.164.000117.599.000759.66011,0%1013424,5%98,4%1.217
MBRF11679,00FUNDO DE INVESTIMENTO IMOBILIÁRIO RIO BRAVO OPORTUNIDADES IMOBILIÁRIAS - FII07/10/2022Renda0,00Outros0,00Ativa069.029.900101.66431/01/202531/12/20240,00%4,63%31,450,00%0,0%0,000,00%0,98689,360,00%0,00%0,00%2.921.560861.6860,00%00-5,53%3.197.8401.861.440-7,42%00-21,29%72.252.80070.082.6000,00%0,00%2.921.560861.6860,00%00-5,53%3.197.8401.861.440-7,42%00-21,29%72.252.80070.082.600217.2163,7%214082,0%95,6%3.833
MCCI1185,50FUNDO DE INVESTIMENTO IMOBILIÁRIO MAUÁ CAPITAL RECEBÍVEIS IMOBILIÁRIOS - FII28/04/2025Títulos e Valores Mobiliários69,57Títulos e Val. Mob.85,50Ativa2.555.4101.450.080.00016.960.02424/04/202531/12/20241,05%10,97%9,383,46%11,5%9,903,09%0,9392,216,70%11,13%-5,14%177.240.00042.060.20021,93%7.783.9302.233.790-2,58%159.003.00037.057.60010,93%167.904.00045.792.1002,48%1.565.160.0001.563.930.00011,13%-5,14%177.240.00042.060.20021,93%7.783.9302.233.790-2,58%159.003.00037.057.60010,93%167.904.00045.792.1002,48%1.565.160.0001.563.930.00000-0--0,0%-
MFAI1169,98Mérito Fundos e Ações Imobiliárias FII - Fundo de Investimento Imobiliário10/10/2024Híbrido56,84Híbrido76,20Ativa00031/07/202431/12/20240,00%--0,00%3,7%-0,00%0,00-16,46%0,00%21,38%3.017.370847.13818,17%-9.330.200-1.404.520-11,06%2.586.310716.920-55,70%1.027.450086,15%000,00%21,38%3.017.370847.13818,17%-9.330.200-1.404.520-11,06%2.586.310716.920-55,70%1.027.450086,15%0000-0--0,0%-
MFII1186,21MERITO DESENVOLVIMENTO IMOBILIARIO FII28/04/2025Híbrido70,66Híbrido94,19Ativa922.304449.361.0005.212.39531/03/202531/12/2024-1,14%4,16%3,584,21%16,0%14,023,27%0,82104,89-3,66%-2,32%13,88%29.295.1007.829.47016,29%43.024.20015.001.900-4,83%18.673.4005.240.020-5,22%73.077.80017.409.40018,04%554.158.000546.705.000-2,32%13,88%29.295.1007.829.47016,29%43.024.20015.001.900-4,83%18.673.4005.240.020-5,22%73.077.80017.409.40018,04%554.158.000546.705.0004180.2060,0%7900,0%6,1%153
MGCR119,40FUNDO DE INVESTIMENTO IMOBILIÁRIO MOGNO CERTIFICADOS DE RECEBÍVEIS IMOBILIÁRIOS MULTIESTRATÉGIA01/08/2023Títulos e Valores Mobiliários0,00Títulos e Val. Mob.0,00Ativa0126.115.00013.416.50531/07/202330/06/20230,00%11,11%1,040,00%0,0%0,000,00%0,969,780,00%0,00%0,00%15.668.3004.480.22023,05%3.322.240167.6843,77%14.012.1004.037.3201,46%00-1,25%132.777.000131.241.0000,00%0,00%15.668.3004.480.22023,05%3.322.240167.6843,77%14.012.1004.037.3201,46%00-1,25%132.777.000131.241.00000-0--0,0%-
MGFF1169,99FUNDO DE INVESTIMENTO IMOBILIARIO MOGNO FUNDO DE FUNDOS26/12/2023Títulos e Valores Mobiliários0,00Títulos e Val. Mob.0,00Ativa00031/10/202331/12/20230,00%--0,00%0,0%-0,00%0,00-0,00%0,00%0,00%46.884.200031,51%-179.616.000-181.153.000-3,53%40.317.700-1.531.540-13,80%00-26,94%000,00%0,00%46.884.200031,51%-179.616.000-181.153.000-3,53%40.317.700-1.531.540-13,80%00-26,94%0000-0--0,0%-
MGHT1112,78FUNDO DE INVESTIMENTO IMOBILIÁRIO - MOGNO HOTEIS28/04/202512,50Híbrido44,8859.37416.790.2001.313.78431/03/202531/12/20241,03%17,03%2,180,87%11,0%1,42-0,85%0,4826,71-70,25%-8,06%-67,80%5.183.110124.6930,54%00-32,88%2.859.400-993.182-0,31%1.865.570020,16%44.510.00035.096.500-8,06%-67,80%5.183.110124.6930,54%00-32,88%2.859.400-993.182-0,31%1.865.570020,16%44.510.00035.096.50013.46818,4%1568100,0%63,7%3.085
MORE1176,21MORE REAL ESTATE FOF FII FUNDO DE INVESTIMENTO IMOBILIÁRIO02/02/2024Títulos e Valores Mobiliários0,00Títulos e Val. Mob.0,00Ativa0176.740.0002.319.11531/08/202331/12/20230,00%6,04%4,610,00%0,0%0,000,00%0,8886,870,00%0,00%-0,25%15.181.4002.708.97024,88%2.436.4000-0,26%10.683.80011.360-25,45%0022,44%201.666.000201.450.0000,00%-0,25%15.181.4002.708.97024,88%2.436.4000-0,26%10.683.80011.360-25,45%0022,44%201.666.000201.450.00000-0--0,0%-
MXRF119,32MAXI RENDA FUNDO DE INVESTIMENTO IMOBILIARIO - FII28/04/2025Híbrido8,50Híbrido9,42Ativa11.731.1004.075.870.000437.325.29728/02/202531/12/20240,22%9,78%0,912,76%12,1%1,073,66%1,019,271,39%3,58%-0,24%438.568.000128.840.00020,94%36.431.4007.965.71013,94%398.805.000115.750.0005,28%468.610.000118.078.000-14,56%4.094.820.0004.052.120.0003,58%-0,24%438.568.000128.840.00020,94%36.431.4007.965.71013,94%398.805.000115.750.0005,28%468.610.000118.078.000-14,56%4.094.820.0004.052.120.0003770,0%600,0%0,3%155.942
NCHB11B7,97FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII FYTO RECEBÍVEIS IMOBILIÁRIOS RESPONSABILIDADE LIMITADA14/03/2025Títulos e Valores Mobiliários7,88Títulos e Val. Mob.7,97Ativa7.729121.793.00015.281.38828/02/202531/12/20240,00%15,42%1,230,00%14,8%0,200,89%0,829,750,89%0,89%0,00%20.851.3004.770.1300,00%-3.25122.3030,00%18.775.2004.140.0500,00%3.117.4003.117.4000,00%149.134.000148.980.0000,89%0,00%20.851.3004.770.1300,00%-3.25122.3030,00%18.775.2004.140.0500,00%3.117.4003.117.4000,00%149.134.000148.980.00000-0--0,0%-
NEWL11100,98NEWPORT LOGÍSTICA FUNDO DE INVESTIMENTO IMOBILIÁRIO28/04/2025Híbrido87,18Híbrido114,15Ativa1.106.400284.502.0002.817.41231/03/202531/12/2024-0,06%15,91%16,077,37%11,3%10,437,59%0,76132,39-7,37%2,65%-0,59%53.973.50013.356.10031,73%0010,72%45.267.60011.562.3004,19%29.382.1008.029.620-15,63%541.702.000373.010.0002,65%-0,59%53.973.50013.356.10031,73%0010,72%45.267.60011.562.3004,19%29.382.1008.029.620-15,63%541.702.000373.010.0003114.55710,6%64130,0%157,6%3.913
NEWU1177,05NEWPORT RENDA URBANA FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII28/04/2025Híbrido69,52Híbrido88,60Ativa127.98257.171.100742.00031/03/202531/12/20240,01%1,91%1,471,48%1,2%0,954,22%0,9977,794,43%-12,76%14,46%5.562.7501.805.16097,95%0028,39%1.092.900303.953-26,66%704.900155.820-16,44%58.067.10057.721.600-12,76%14,46%5.562.7501.805.16097,95%0028,39%1.092.900303.953-26,66%704.900155.820-16,44%58.067.10057.721.600312.90410,6%3243147,0%92,2%4.083
NPAR1112,82FII - FUNDO DE INVESTIMENTO IMOBILIÁRIO NESTPAR25/04/2022Híbrido0,00Outros0,00Ativa01.533.140119.590-31/12/20210,00%213,32%27,350,00%0,0%0,000,00%0,7018,330,00%0,00%0,00%137.6662.4940,00%-202,97%3.270.460-83.108-86,63%0017,95%2.217.5402.191.7000,00%0,00%137.6662.4940,00%-202,97%3.270.460-83.108-86,63%0017,95%2.217.5402.191.70000-0--0,0%-
NSLU11154,60FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII HOSPITAL NOSSA SENHORA DE LOURDES RESPONSABILIDADE LIMITADA28/04/2025Renda137,22Hospital175,78Passiva166.770199.942.0001.293.28628/02/202531/12/2024-0,88%11,97%18,51-2,43%12,0%18,68-1,79%0,74209,64-5,52%7,02%-14,39%25.778.5006.399.80029,78%00-25,25%23.940.7005.739.990-8,52%24.155.2006.052.58024,90%271.400.000271.121.0007,02%-14,39%25.778.5006.399.80029,78%00-25,25%23.940.7005.739.990-8,52%24.155.2006.052.58024,90%271.400.000271.121.000123.52313,0%11.0600,0%96,1%8.170
NVHO1111,19FUNDO DE INVESTIMENTO IMOBILIARIO - FII NOVO HORIZONTE28/04/2025Desenvolvimento para Renda9,72Hospital14,18Ativa1.550464.324.00041.494.533-31/12/20240,00%14,20%1,59-5,80%9,0%1,02-3,04%0,6716,5915,09%-7,58%14,58%67.045.00022.663.40030,81%00-8,25%65.922.60022.328.100-17,60%42.177.80010.586.20027,22%695.010.000688.351.000-7,58%14,58%67.045.00022.663.40030,81%00-8,25%65.922.60022.328.100-17,60%42.177.80010.586.20027,22%695.010.000688.351.000430.35914,6%452.2080,0%98,6%15.080
ONEF11200,03FUNDO DE INVESTIMENTO IMOBILIÁRIO THE ONE22/12/2023Renda0,00Lajes Corporativas0,00Passiva0182.227.000911.00029/12/202331/12/20230,00%6,08%12,160,00%0,0%0,000,00%1,09182,790,00%0,00%0,00%12.093.6003.041.72021,88%28.873.90028.873.90038,06%11.081.2002.798.420-2,12%00-17,36%196.228.000166.518.0000,00%0,00%12.093.6003.041.72021,88%28.873.90028.873.90038,06%11.081.2002.798.420-2,12%00-17,36%196.228.000166.518.00000-0--0,0%-
ORPD1193,00OURO REC DESENVOLVIMENTO IMOBILIÁRIO I FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII10/06/2022Títulos e Valores Mobiliários0,00Títulos e Val. Mob.0,00Ativa026.970.000290.00030/09/201631/12/20240,00%0,00%0,000,00%0,0%0,000,00%0,65142,270,00%0,00%0,00%000,00%00-28,31%0017,61%0037,84%45.506.60041.257.9000,00%0,00%000,00%00-28,31%0017,61%0037,84%45.506.60041.257.90000-0--0,0%-
OUCY1188,50FUNDO DE INVESTIMENTO IMOBILIÁRIO OURINVEST RENDA ESTRUTURADA30/12/2020Híbrido0,00Híbrido0,00Ativa00031/07/202430/06/20240,00%--0,00%0,0%-0,00%0,00-0,00%0,00%0,00%7.190.6401.700.8000,00%7.55600,00%10.835.6002.780.0500,00%00-6,31%000,00%0,00%7.190.6401.700.8000,00%7.55600,00%10.835.6002.780.0500,00%00-6,31%00817.473-1251610,0%0,0%0
OUFF1161,10FUNDO DE INVESTIMENTO IMOBILIÁRIO - OURINVEST FUNDO DE FUNDOS26/07/2024Títulos e Valores Mobiliários58,84Títulos e Val. Mob.64,04Ativa00031/07/202430/06/20240,00%--0,00%4,3%-0,00%0,00--4,66%0,00%-7,69%16.356.9003.633.07028,24%1.003.21030.854-0,91%15.062.1003.334.970-2,96%4.800.3700-13,57%000,00%-7,69%16.356.9003.633.07028,24%1.003.21030.854-0,91%15.062.1003.334.970-2,96%4.800.3700-13,57%0000-0--0,0%-
OUJP1178,95OURINVEST JPP FUNDO DE INVESTIMENTO IMOBILIÁRIO- FII28/04/2025Títulos e Valores Mobiliários62,89Híbrido81,60Ativa445.555256.776.0003.252.38431/03/202531/03/20250,48%15,05%11,880,49%13,7%10,993,39%0,8098,60-2,11%12,80%-15,19%41.897.70012.038.00015,16%0026,12%38.642.10011.361.000-2,87%35.743.7009.074.150-0,78%325.405.000320.685.00012,80%-15,19%41.897.70012.038.00015,16%0026,12%38.642.10011.361.000-2,87%35.743.7009.074.150-0,78%325.405.000320.685.00000-0--0,0%-
OULG1136,98FUNDO DE INVESTIMENTO IMOBILIÁRIO OURINVEST LOGÍSTICA28/04/2025Renda27,45Logística37,08Ativa854.53691.757.9002.481.28431/03/202531/12/2024-0,27%9,45%3,502,15%2,0%0,762,15%0,6061,7629,37%20,40%-1,85%15.047.7002.337.950-15,46%00-22,86%8.673.400500.658-23,35%1.898.1801.898.180-0,20%177.320.000153.234.00020,40%-1,85%15.047.7002.337.950-15,46%00-22,86%8.673.400500.658-23,35%1.898.1801.898.180-0,20%177.320.000153.234.000281.00314,1%21740,0%109,2%1.237
OURE1178,20FUNDO DE INVESTIMENTO IMOBILIÁRIO OURINVEST RENDA ESTRUTURADA26/07/2024Híbrido73,11Híbrido79,99Ativa00031/07/202430/06/20240,00%--0,00%4,9%-0,00%0,00-6,20%0,00%15,14%7.190.6401.700.8005,79%7.55607,59%10.835.6002.780.05011,52%4.195.2500-6,31%000,00%15,14%7.190.6401.700.8005,79%7.55607,59%10.835.6002.780.05011,52%4.195.2500-6,31%00817.473-1251610,0%0,0%0
PATC1135,45PÁTRIA EDIFÍCIOS CORPORATIVOS FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII28/04/2025Desenvolvimento para Renda32,46Lajes Corporativas36,20Ativa1.420.810123.275.0003.477.43428/02/202531/12/2024-0,06%3,97%1,411,14%4,4%1,570,60%0,8641,312,24%2,43%-2,03%9.377.3702.666.21020,31%0030,64%4.891.1301.611.860-3,95%5.459.5701.564.850-38,51%145.149.000143.653.0002,43%-2,03%9.377.3702.666.21020,31%0030,64%4.891.1301.611.860-3,95%5.459.5701.564.850-38,51%145.149.000143.653.00047.7557,5%181.1810,0%99,2%15.771
PATL1149,40PÁTRIA LOGÍSTICA FUNDO DE INVESTIMENTO IMOBILIÁRIO28/04/2025Desenvolvimento para Renda38,09Logística56,26Ativa369.887246.582.0004.991.53528/02/202531/12/20242,92%13,96%6,904,55%13,7%6,874,62%0,5196,57-10,12%5,98%-20,38%40.328.20011.229.4009,00%-663.109-1.011.2102,77%34.431.9009.798.240-15,13%34.291.8008.535.520-0,18%485.568.000482.035.0005,98%-20,38%40.328.20011.229.4009,00%-663.109-1.011.2102,77%34.431.9009.798.240-15,13%34.291.8008.535.520-0,18%485.568.000482.035.0004151.33116,8%42662,7%97,1%1.582
PLCR1182,00PLURAL RECEBÍVEIS IMOBILIÁRIOS FUNDO DE INVESTIMENTO IMOBILIÁRIO28/04/2025Títulos e Valores Mobiliários64,44Títulos e Val. Mob.82,00Ativa265.885172.952.0002.109.16931/03/202531/12/20240,02%14,72%12,073,02%11,6%9,625,76%0,9091,004,02%12,89%-5,03%21.736.1003.920.44020,26%006,30%25.461.4004.925.07011,39%20.290.2005.483.8400,28%194.006.000191.933.00012,89%-5,03%21.736.1003.920.44020,26%006,30%25.461.4004.925.07011,39%20.290.2005.483.8400,28%194.006.000191.933.00000-0--0,0%-
PLRI1114,70POLO FII - FII RECEBÍVEIS IMOBILIÁRIOS I28/04/2025Títulos e Valores Mobiliários3,78Títulos e Val. Mob.16,41Ativa10.32414.028.300954.304-31/12/2024-2,33%4,16%0,61-7,64%39,9%5,76-10,44%0,8118,12189,45%65,67%75,71%1.552.9801.321.960-25,19%00-13,19%582.991904.39425,67%5.495.00002,93%17.455.60017.292.20065,67%75,71%1.552.9801.321.960-25,19%00-13,19%582.991904.39425,67%5.495.00002,93%17.455.60017.292.20000-0--0,0%-
PORD118,23POLO CRÉDITO IMOBILIÁRIO - FUNDO DE INVESTIMENTO IMOBILIÁRIO28/04/2025Títulos e Valores Mobiliários6,57Títulos e Val. Mob.8,34Ativa503.524306.845.00037.283.75031/03/202531/12/2024-0,60%11,98%0,993,24%12,9%1,073,24%0,869,551,44%9,67%-2,05%43.279.40010.174.50014,94%0010,52%36.745.4009.111.9304,06%39.968.2009.693.7809,82%360.639.000356.193.0009,67%-2,05%43.279.40010.174.50014,94%0010,52%36.745.4009.111.9304,06%39.968.2009.693.7809,82%360.639.000356.193.00000-0--0,0%-
PQAG1154,53PARQUE ANHANGUERA FUNDO DE INVESTIMENTO IMOBILIÁRIO28/04/2025Desenvolvimento para Renda52,71Logística57,11Ativa254.051762.978.00013.991.89031/03/202531/12/2024-0,07%10,24%5,590,00%10,1%5,54-1,79%0,9557,591,75%-0,18%4,29%80.084.00019.742.40018,26%003,40%78.145.10019.233.300-10,69%77.515.10019.588.60014,04%872.638.000805.767.000-0,18%4,29%80.084.00019.742.40018,26%003,40%78.145.10019.233.300-10,69%77.515.10019.588.60014,04%872.638.000805.767.000163.60610,0%11.2040,0%100,6%12.063
PQDP112.350,00FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII PARQUE DOM PEDRO SHOPPING CENTER RESPONSABILIDADE LIMITADA28/04/2025Renda703,69Shoppings2.389,99Passiva425.003236.318.000100.56128/02/202531/12/2024-1,67%11,05%259,615,98%7,9%245,9110,35%0,703.350,31225,82%21,21%187,44%40.625.2007.439.0000,52%0011,37%26.106.7005.905.020-26,86%24.729.0005.874.740-20,23%340.997.000336.911.00021,21%187,44%40.625.2007.439.0000,52%0011,37%26.106.7005.905.020-26,86%24.729.0005.874.740-20,23%340.997.000336.911.0001127.00011,8%3882131,0%96,9%1.803
PRSN111,35PERSONALE I FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII25/04/2025Desenvolvimento para Venda0,66Residencial1,79Ativa3054.362.1803.231.247-31/12/20240,00%-17,23%-0,2320,54%37,1%0,3521,62%0,413,3294,41%51,79%16,34%114.4870-13,66%681.05996.5230,00%-751.475-159.3070,00%1.119.230543.7840,00%20.202.50010.718.40051,79%16,34%114.4870-13,66%681.05996.5230,00%-751.475-159.3070,00%1.119.230543.7840,00%20.202.50010.718.40022020,0%3600,0%39,0%8.415
PRSV1147,99PRESIDENTE VARGAS FUNDO DE INVESTIMENTO IMOBILIÁRIO28/04/2025Renda42,38Lajes Corporativas68,78Passiva1.29010.247.400213.53231/03/202531/12/20240,00%-23,97%-11,502,11%0,0%0,00-6,80%0,32150,56-28,29%-13,03%-10,63%33.4432.703-58,00%0019,51%-2.456.140-413.251-28,49%00-13,66%32.587.30032.149.500-13,03%-10,63%33.4432.703-58,00%0019,51%-2.456.140-413.251-28,49%00-13,66%32.587.30032.149.500110.0820,0%230100,0%101,2%1.029
PVBI1179,55FUNDO DE INVESTIMENTO IMOBILIÁRIO - VBI PRIME PROPERTIES28/04/2025Renda66,49Lajes Corporativas92,77Ativa3.717.8702.158.200.00027.130.06728/02/202531/12/20242,08%8,49%6,751,70%8,7%6,943,40%0,76104,85-14,09%6,85%-19,54%189.065.00045.168.90019,65%31.37406,11%183.135.00040.591.4005,04%188.289.00042.051.600-2,05%2.861.090.0002.844.550.0006,85%-19,54%189.065.00045.168.90019,65%31.37406,11%183.135.00040.591.4005,04%188.289.00042.051.600-2,05%2.861.090.0002.844.550.000784.0218,7%981.80415,5%80,5%20.669
QAGR1141,00VBI AGRO - FUNDO DE INVESTIMENTO IMOBILIÁRIO03/02/2025Renda40,25Outros45,38Ativa149.034206.640.0005.040.00031/01/202531/12/20240,00%13,19%5,410,00%12,9%5,300,00%0,6860,52-6,41%-3,15%-4,54%31.337.3007.915.92030,31%00-3,85%27.251.8006.978.9202,05%26.712.0006.753.600-23,92%307.442.000305.011.000-3,15%-4,54%31.337.3007.915.92030,31%00-3,85%27.251.8006.978.9202,05%26.712.0006.753.600-23,92%307.442.000305.011.00012139.75415,2%142180,0%96,9%1.433
QMFF1198,52QUATÁ IMOB RECEBÍVEIS IMOBILIÁRIOS - FUNDO DE INVESTIMENTO IMOBILIÁRIO19/01/2021Títulos e Valores Mobiliários0,00Títulos e Val. Mob.0,00Ativa014.778.000150.00025/02/202230/06/20220,00%7,55%7,440,00%0,0%0,000,00%1,1089,610,00%0,00%0,00%63.59918.9510,00%-4400,00%1.115.810291.3890,40%001,76%13.485.30013.441.9000,00%0,00%63.59918.9510,00%-4400,00%1.115.810291.3890,40%001,76%13.485.30013.441.90000-0--0,0%-
RBBV11100,00JHSF RIO BRAVO FAZENDA BOA VISTA CAPITAL PROTEGIDO FUNDO DE INVESTIMENTO IMOBILIARIO - FII28/06/2021Híbrido0,00Títulos e Val. Mob.0,00Passiva0125.416.0001.254.16431/12/202031/03/20210,00%6,51%6,510,00%0,0%0,000,00%0,99100,840,00%0,00%0,00%9.366.1603.713.9900,00%000,00%8.169.7503.431.41060,79%0013,37%126.585.000126.470.0000,00%0,00%9.366.1603.713.9900,00%000,00%8.169.7503.431.41060,79%0013,37%126.585.000126.470.00000-0--0,0%-
RBCO1144,00HEDGE OFFICE INCOME FUNDO DE INVESTIMENTO IMOBILIÁRIO13/10/2022Renda35,25Lajes Corporativas54,22Ativa144.616166.276.0003.779.00130/09/202230/06/20220,00%12,33%5,420,00%8,4%3,725,64%0,4989,30-7,09%-15,22%-32,15%27.439.3006.812.510-7,10%002,29%20.496.5005.720.0600,00%14.057.9001.700.5500,00%396.390.000337.476.000-15,22%-32,15%27.439.3006.812.510-7,10%002,29%20.496.5005.720.0600,00%14.057.9001.700.5500,00%396.390.000337.476.000443.01516,1%856150,0%98,6%3.812
RBDS112,20RB CAPITAL DESENVOLVIMENTO RESIDENCIAL II FUNDO DE INVESTIMENTO IMOBILIARIO - FII25/04/2025Desenvolvimento para Venda1,85Residencial3,39Ativa194278.351126.52329/11/202430/09/20240,00%-69,69%-1,53-8,71%0,0%0,00-16,98%0,1218,51-4,35%-23,88%14,68%34.81511.1560,80%00-74,62%-193.969-47.230-57,29%00-65,09%2.801.6002.342.220-23,88%14,68%34.81511.1560,80%00-74,62%-193.969-47.230-57,29%00-65,09%2.801.6002.342.22000-0--0,0%-
RBED1194,03FUNDO DE INVESTIMENTO IMOBILIÁRIO RIO BRAVO RENDA EDUCACIONAL- FII07/02/2025Renda89,94Outros124,94Ativa0221.443.0002.355.02231/01/202531/12/20240,00%15,89%14,950,00%19,8%19,320,00%0,000,00-22,13%-3,55%-19,62%41.171.4009.019.94041,39%367.650.000367.650.0002,64%35.197.3007.157.230-8,90%45.499.0002.449.220-10,52%00-3,55%-19,62%41.171.4009.019.94041,39%367.650.000367.650.0002,64%35.197.3007.157.230-8,90%45.499.0002.449.220-10,52%0000-0--0,0%-
RBFF1150,96RIO BRAVO FUNDO DE FUNDOS DE INVESTIMENTO IMOBILIÁRIO28/04/2025Títulos e Valores Mobiliários41,68Títulos e Val. Mob.58,88Ativa450.244191.060.0003.749.21531/03/202531/12/20240,59%12,27%6,25-1,03%11,9%6,13-0,30%0,8758,88-8,96%4,63%-7,45%25.713.4006.967.07028,51%516.291-384.9883,60%23.445.3006.457.030-16,04%22.982.7005.736.300-28,23%226.805.000220.749.0004,63%-7,45%25.713.4006.967.07028,51%516.291-384.9883,60%23.445.3006.457.030-16,04%22.982.7005.736.300-28,23%226.805.000220.749.00000-0--0,0%-
RBGS1128,45RB CAPITAL GENERAL SHOPPING SULACAP FII30/12/2021Renda0,00Shoppings0,00Passiva030.669.1001.078.00030/11/202130/09/20210,00%3,30%0,940,00%0,0%0,000,00%0,3190,780,00%0,00%0,00%1.528.53000,00%000,00%1.012.710-88.434-25,34%00-38,49%98.073.10097.865.3000,00%0,00%1.528.53000,00%000,00%1.012.710-88.434-25,34%00-38,49%98.073.10097.865.300129.0185,0%1525311,9%99,5%1.052
RBIV1183,70RIO BRAVO CRÉDITO IMOBILIÁRIO HIGH GRADE FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII RESP LIMITADA14/09/2021Títulos e Valores Mobiliários0,00Títulos e Val. Mob.0,00Ativa0181.458.0002.167.95731/12/202431/12/20240,00%9,92%8,300,00%0,0%0,000,00%0,9786,250,00%0,00%0,00%22.426.5005.761.2300,00%5.061.8502.228.8400,00%18.004.8003.475.7805,22%00-9,58%188.962.000186.977.0000,00%0,00%22.426.5005.761.2300,00%5.061.8502.228.8400,00%18.004.8003.475.7805,22%00-9,58%188.962.000186.977.00000-0--0,0%-
RBRD1141,00RB CAPITAL RENDA II FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII28/04/2025Renda31,17Híbrido41,00Ativa51.96675.923.2001.851.78631/03/202531/12/20241,13%11,46%4,708,74%12,2%5,079,81%0,6364,7619,04%26,08%-5,47%9.958.3302.633.56018,57%148.3360-2,13%8.701.5502.362.630-44,31%9.388.5602.777.680-3,34%121.189.000119.925.00026,08%-5,47%9.958.3302.633.56018,57%148.3360-2,13%8.701.5502.362.630-44,31%9.388.5602.777.680-3,34%121.189.000119.925.000426.92313,2%43590,0%96,1%2.710
RBRF116,89RBR ALPHA MULTIESTRATÉGIA REAL ESTATE FUNDO DE INVESTIMENTO IMOBILIÁRIO28/04/2025Títulos e Valores Mobiliários5,69Títulos e Val. Mob.7,20Ativa2.787.300942.605.000136.807.70028/02/202531/12/2024-1,15%15,35%1,065,53%11,8%0,826,82%0,828,43-1,48%12,63%-13,04%155.066.00076.756.70030,79%-28.204.800-31.909.100-3,99%144.731.00075.382.000-11,22%112.757.00024.625.400-15,34%1.155.860.0001.153.140.00012,63%-13,04%155.066.00076.756.70030,79%-28.204.800-31.909.100-3,99%144.731.00075.382.000-11,22%112.757.00024.625.400-15,34%1.155.860.0001.153.140.00000-0--0,0%-
RBRL1180,14RBR LOG FUNDO DE INVESTIMENTO IMOBILIÁRIO28/04/2025Híbrido58,85Logística80,14Ativa342.185535.899.0006.687.03531/03/202531/12/20244,23%9,47%7,5911,18%10,6%8,6214,06%0,76105,478,16%25,12%-14,92%63.964.60016.560.30014,50%5.820.8800-5,08%50.765.90012.054.000-3,65%57.642.20014.845.20019,76%750.519.000705.295.00025,12%-14,92%63.964.60016.560.30014,50%5.820.8800-5,08%50.765.90012.054.000-3,65%57.642.20014.845.20019,76%750.519.000705.295.0005234.29912,4%192620,0%92,2%2.109
RBRP1149,40FUNDO DE INVESTIMENTO IMOBILIARIO RBR PROPERTIES - FII28/04/2025Renda38,31Outros55,83Ativa1.414.820601.652.00012.179.18731/03/202531/12/20240,78%6,43%3,1811,42%12,9%6,4411,62%0,6675,14-6,84%2,89%1,37%35.518.5009.139.80014,44%43.265.1001.836.580-29,28%38.688.30012.519.500-9,82%78.434.00014.858.6004,75%926.831.000915.122.0002,89%1,37%35.518.5009.139.80014,44%43.265.1001.836.580-29,28%38.688.30012.519.500-9,82%78.434.00014.858.6004,75%926.831.000915.122.000642.4187,0%736790,0%68,5%9.721
RBRR1184,86FUNDO DE INVESTIMENTO IMOBILIARIO - FII RBR RENDIMENTO HIGH GRADE RESPONSABILIDADE LIMITADA28/04/2025Títulos e Valores Mobiliários71,66Títulos e Val. Mob.85,00Ativa2.089.4301.277.750.00015.057.20128/02/202531/12/2024-0,16%9,89%8,391,35%12,1%10,381,59%0,9490,443,22%7,27%3,82%141.851.00035.181.10018,46%24.504.5005.098.460-3,10%126.392.00031.700.90014,42%156.309.00042.160.200-7,06%1.444.020.0001.361.750.0007,27%3,82%141.851.00035.181.10018,46%24.504.5005.098.460-3,10%126.392.00031.700.90014,42%156.309.00042.160.200-7,06%1.444.020.0001.361.750.00000-0--0,0%-
RBRS1136,19Rio Bravo Renda Residencial Fundo de Investimento Imobiliario28/04/2025Renda32,31Residencial48,47Ativa69.84862.764.3001.734.29931/03/202531/12/20240,56%-2,36%-0,866,09%0,6%0,21-4,07%0,3896,12-24,12%-5,14%-26,44%5.936.3202.136.9205,90%15.109.10010.747.400-9,42%-1.483.830378.626-27,79%364.203364.203-8,57%205.384.000166.702.000-5,14%-26,44%5.936.3202.136.9205,90%15.109.10010.747.400-9,42%-1.483.830378.626-27,79%364.203364.203-8,57%205.384.000166.702.00037.4716,9%24266724,9%115,7%9.719
RBRY1193,50FUNDO DE INVESTIMENTO IMOBILIÁRIO RBR CRÉDITO IMOBILIÁRIO ESTRUTURADO RESPONSABILIDADE LIMITADA28/04/2025Títulos e Valores Mobiliários73,91Títulos e Val. Mob.93,67Ativa2.716.6101.193.950.00012.769.51228/02/202531/12/20240,21%10,24%9,57-0,19%12,4%11,720,73%0,9796,467,53%10,60%0,31%144.130.00033.794.70017,30%16.477.5007.262.9508,41%122.242.00029.485.40010,97%149.659.00040.224.000-9,29%1.233.930.0001.231.800.00010,60%0,31%144.130.00033.794.70017,30%16.477.5007.262.9508,41%122.242.00029.485.40010,97%149.659.00040.224.000-9,29%1.233.930.0001.231.800.00000-0--0,0%-
RBVA1187,30FUNDO DE INVESTIMENTO IMOBILIÁRIO RIO BRAVO RENDA VAREJO - FII28/04/2025Renda75,02Outros100,26Ativa1.979.4901.363.130.00015.614.30531/03/202531/12/20240,69%7,54%6,596,25%11,8%9,306,91%0,82106,54-12,45%2,51%-12,42%151.421.00042.327.10038,64%85.349.00022.982.7001,88%102.839.00020.949.800-3,91%145.176.00042.158.600-23,98%1.956.520.0001.663.560.0002,51%-12,42%151.421.00042.327.10038,64%85.349.00022.982.7001,88%102.839.00020.949.800-3,91%145.176.00042.158.600-23,98%1.956.520.0001.663.560.00082295.09210,4%814693,9%97,9%4.523
RBVO115,33RIO BRAVO CRÉDITO IMOBILIÁRIO II FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII13/12/2024Títulos e Valores Mobiliários4,85Lajes Corporativas30,22Ativa00030/09/202431/12/20240,00%--0,00%48,5%-0,00%0,00--52,98%0,00%18,05%327.15556.844-18,21%1.143.41003,06%124.36931.016-28,57%603.5140-3,18%000,00%18,05%327.15556.844-18,21%1.143.41003,06%124.36931.016-28,57%603.5140-3,18%0000-0--0,0%-
RCFF1187,62RBR DESENVOLVIMENTO COMERCIAL FEEDER FOF FUNDO DE INVESTIMENTO IMOBILIÁRIO23/04/2025Títulos e Valores Mobiliários67,17Títulos e Val. Mob.106,00Ativa7.13928.318.800323.20031/12/202431/12/20240,00%28,41%24,8910,77%23,3%24,7510,77%0,86101,3924,15%-5,48%27,79%564.745253.0357,76%397.360-134.397-5,14%8.045.6607.534.4005,22%8.000.6801.712.9602,72%32.848.00032.770.000-5,48%27,79%564.745253.0357,76%397.360-134.397-5,14%8.045.6607.534.4005,22%8.000.6801.712.9602,72%32.848.00032.770.00000-0--0,0%-
RCRB11129,97FUNDO DE INVESTIMENTO IMOBILIÁRIO RIO BRAVO RENDA CORPORATIVA28/04/2025Renda108,16Lajes Corporativas147,04Ativa1.456.050479.680.0003.690.69531/03/202531/12/2024-0,40%5,08%6,610,58%8,6%11,260,97%0,65200,90-10,31%6,49%-15,41%57.843.30016.431.00035,64%19.398.600971.745-2,79%24.390.30012.131.300-10,57%41.557.2009.521.990-34,23%845.131.000741.459.0006,49%-15,41%57.843.30016.431.00035,64%19.398.600971.745-2,79%24.390.30012.131.300-10,57%41.557.2009.521.990-34,23%845.131.000741.459.000942.7279,9%531.2176,5%109,0%12.236
RDPD1122,96V2 RECEBÍVEIS IMOBILIÁRIOS FUNDO DE INVESTIMENTO IMOBILIÁRIO12/06/2023Títulos e Valores Mobiliários0,00Títulos e Val. Mob.0,00Ativa0172.391.0007.508.33230/12/202431/12/20240,00%4,47%1,030,00%0,0%0,000,00%2,2310,300,00%0,00%0,00%8.800.6202.520.280-2,71%82.46635.84922,57%7.699.6702.214.41039,08%00-2,35%77.436.70077.335.7000,00%0,00%8.800.6202.520.280-2,71%82.46635.84922,57%7.699.6702.214.41039,08%00-2,35%77.436.70077.335.70000-0--0,0%-
RECR1183,63FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII REC RECEBÍVEIS IMOBILIÁRIOS28/04/2025Títulos e Valores Mobiliários61,77Títulos e Val. Mob.84,29Ativa2.415.1902.211.320.00026.441.65028/02/202531/12/20240,46%12,82%10,722,82%13,4%11,384,33%0,9488,859,41%18,55%-3,67%303.848.00073.418.00013,73%4.313.8003.322.4700,55%283.388.00068.686.0009,97%300.774.00082.614.30018,90%2.468.550.0002.349.300.00018,55%-3,67%303.848.00073.418.00013,73%4.313.8003.322.4700,55%283.388.00068.686.0009,97%300.774.00082.614.30018,90%2.468.550.0002.349.300.00011.6950,0%70100,0%3,3%43.440
RECT1133,49FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII REC RENDA IMOBILIÁRIA28/04/2025Híbrido23,25Híbrido34,11Ativa304.945286.122.0008.543.49331/03/202531/12/20244,95%13,57%4,54-0,29%12,8%4,321,29%0,3790,890,58%25,45%-33,34%71.639.10017.134.000-1,47%370.300221.061-19,01%38.827.2008.781.400-16,36%36.936.9008.970.670-5,38%960.024.000776.500.00025,45%-33,34%71.639.10017.134.000-1,47%370.300221.061-19,01%38.827.2008.781.400-16,36%36.936.9008.970.670-5,38%960.024.000776.500.000991.34220,7%2387829,1%120,3%3.768
REIT1185,00SINGULARE FUNDO DE INVESTIMENTO IMOBILIÁRIO07/04/2025Títulos e Valores Mobiliários85,00Títulos e Val. Mob.153,81Ativa822.234.74026.291-31/12/20240,00%10,60%9,01-13,09%8,5%7,45-13,09%0,29291,87-40,52%-1,68%-44,26%812.173204.887-6,81%0019,90%236.78365.28557,46%195.88108,42%7.723.2407.673.550-1,68%-44,26%812.173204.887-6,81%0019,90%236.78365.28557,46%195.88108,42%7.723.2407.673.55000-0--0,0%-
RELG1168,00FUNDO DE INVESTIMENTO IMOBILIÁRIO REC LOGÍSTICA28/04/2025Híbrido44,88Híbrido69,40Ativa572.35190.750.2001.334.56231/03/202531/12/20242,26%3,58%2,44-0,99%5,9%4,08-0,38%0,61111,4844,04%31,95%15,72%18.255.8004.788.300-32,22%004,03%3.253.2402.555.040-20,46%5.444.6102.722.510-8,33%150.386.000148.782.00031,95%15,72%18.255.8004.788.300-32,22%004,03%3.253.2402.555.040-20,46%5.444.6102.722.510-8,33%150.386.000148.782.000597.55020,2%518610,0%99,3%924
RFOF1157,46FUNDO DE INVESTIMENTO IMOBILIÁRIO RB CAPITAL I FUNDO DE FUNDOS28/04/2025Renda49,76Títulos e Val. Mob.67,71Ativa326.68361.951.3001.078.16431/03/202531/12/2024-0,05%12,33%7,08-0,75%14,4%8,34-3,21%0,8369,42-15,17%1,99%-14,30%610.023118.70924,54%2.027.13016.5424,51%7.637.0002.442.190-6,96%8.991.8902.102.420-7,84%76.575.00074.846.7001,99%-14,30%610.023118.70924,54%2.027.13016.5424,51%7.637.0002.442.190-6,96%8.991.8902.102.420-7,84%76.575.00074.846.70000-0--0,0%-
RNDP1140,50BB RENDA DE PAPÉIS IMOBILIÁRIOS FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII28/03/2025Títulos e Valores Mobiliários26,56Títulos e Val. Mob.59,42Ativa5.7794.352.980107.48129/12/202331/12/20240,00%7,21%2,920,00%38,4%6,72-0,05%0,7256,04-29,28%21,69%-38,13%579.8651.033.910119,55%132.35822.65436,30%313.7311.003.08022,65%722.272148.3245,02%7.567.4406.023.42021,69%-38,13%579.8651.033.910119,55%132.35822.65436,30%313.7311.003.08022,65%722.272148.3245,02%7.567.4406.023.42000-0--0,0%-
RNGO1145,40FUNDO DE INVESTIMENTO IMOBILIÁRIO RIO NEGRO - FII28/04/2025Renda38,62Lajes Corporativas46,34Passiva47.646121.490.0002.676.00028/02/202531/12/2024-1,20%10,46%4,751,36%10,0%4,571,95%0,5483,805,66%10,37%-0,58%17.253.4004.502.8407,42%001,32%12.701.8003.109.290-19,60%12.229.3003.077.400-25,77%225.464.000224.255.00010,37%-0,58%17.253.4004.502.8407,42%001,32%12.701.8003.109.290-19,60%12.229.3003.077.400-25,77%225.464.000224.255.000575.33214,1%84022410,1%98,5%1.589
RRCI1173,79RB CAPITAL RECEBÍVEIS IMOBILIÁRIOS FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII28/04/2025Renda59,52Títulos e Val. Mob.73,79Ativa64.86535.548.800481.75731/03/202531/12/20241,35%13,31%9,822,84%13,7%10,203,31%0,8389,161,97%11,48%-4,11%4.649.7701.252.8108,30%368.53888.42222,57%4.730.6101.087.820-5,73%4.913.9201.228.4800,11%43.404.20042.953.20011,48%-4,11%4.649.7701.252.8108,30%368.53888.42222,57%4.730.6101.087.820-5,73%4.913.9201.228.4800,11%43.404.20042.953.20000-0--0,0%-
RVBI1167,58VBI REITS MULTIESTRATÉGIA FUNDO DE INVESTIMENTO IMOBILIÁRIO28/04/2025Renda54,24Títulos e Val. Mob.69,12Ativa882.015694.453.00010.276.01228/02/202531/12/20241,55%10,45%7,076,14%12,9%8,857,34%0,9075,20-0,13%9,99%-12,51%32.430.1004.594.38028,06%6.570.330-11.830-2,96%72.602.80020.156.700-1,09%90.942.70021.579.600-1,27%780.491.000772.748.0009,99%-12,51%32.430.1004.594.38028,06%6.570.330-11.830-2,96%72.602.80020.156.700-1,09%90.942.70021.579.600-1,27%780.491.000772.748.00000-0--0,0%-
RZAK1181,97RIZA AKIN FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII28/04/2025Títulos e Valores Mobiliários65,22Títulos e Val. Mob.82,72Ativa1.756.450721.982.0008.807.88531/01/202531/12/2024-0,11%15,38%12,610,13%16,3%13,591,50%0,9586,6413,27%13,96%1,55%124.771.00035.254.9008,80%9.942.5303.306.56023,69%111.067.00031.492.1002,59%119.735.00032.148.8000,00%829.613.000763.143.00013,96%1,55%124.771.00035.254.9008,80%9.942.5303.306.56023,69%111.067.00031.492.1002,59%119.735.00032.148.8000,00%829.613.000763.143.00000-0--0,0%-
RZAT1189,09RIZA ARCTIUM REAL ESTATE FUNDO DE INVESTIMENTO IMOBILIÁRIO28/04/2025Híbrido73,50Híbrido92,10Ativa582.609377.300.0004.235.04231/03/202531/12/20240,26%-59,43%-52,950,44%13,9%12,003,08%0,88101,692,81%8,36%6,74%36.067.8009.882.56019,71%309.775328.276-1,21%-224.231.00011.673.40017,88%50.831.50013.552.10044,58%469.460.000430.644.0008,36%6,74%36.067.8009.882.56019,71%309.775328.276-1,21%-224.231.00011.673.40017,88%50.831.50013.552.10044,58%469.460.000430.644.00012345.7098,9%10990,0%102,5%1.119
RZTR1191,81FUNDO DE INVESTIMENTO IMOBILIÁRIO RIZA TERRAX28/04/2025Híbrido75,67Títulos e Val. Mob.91,81Ativa3.835.5101.730.780.00018.851.72031/03/202531/12/20240,34%16,76%15,383,33%12,6%11,703,22%0,9695,9610,70%11,84%-10,36%311.644.00055.306.20022,66%3.712.5003.712.50013,92%289.997.00055.140.3006,79%220.565.00059.382.9006,75%2.232.840.0001.808.940.00011,84%-10,36%311.644.00055.306.20022,66%3.712.5003.712.50013,92%289.997.00055.140.3006,79%220.565.00059.382.9006,75%2.232.840.0001.808.940.00017680.285.31910,6%16024,4%103,3%3
SADI118,75SANTANDER PAPÉIS IMOBILIÁRIOS CDI FUNDO DE INVESTIMENTO IMOBILIÁRIO28/04/2025Títulos e Valores Mobiliários7,71Títulos e Val. Mob.8,80Ativa297.652135.510.00015.486.84031/03/202531/12/20240,00%12,24%1,070,40%12,2%1,080,62%0,919,6410,78%10,52%6,57%18.242.2004.476.7209,82%0012,75%16.586.9004.074.40019,05%16.663.8004.413.750-15,17%150.901.000149.324.00010,52%6,57%18.242.2004.476.7209,82%0012,75%16.586.9004.074.40019,05%16.663.8004.413.750-15,17%150.901.000149.324.00000-0--0,0%-
SAIC1134,04FUNDO DE INVESTIMENTO IMOBILIARIO - FII SIA CORPORATE10/03/2025Desenvolvimento para Renda34,01Lajes Corporativas34,04Passiva148.668.3001.429.74030/04/202231/12/20240,00%-2,49%-0,850,00%0,0%0,000,00%0,6056,410,09%0,09%0,00%900.794324.2250,00%000,00%-1.213.560-166.1090,00%000,00%82.533.10080.647.0000,09%0,00%900.794324.2250,00%000,00%-1.213.560-166.1090,00%000,00%82.533.10080.647.000111.1791,6%2271100,0%100,7%4.386
SARE114,76SANTANDER RENDA DE ALUGUÉIS FUNDO DE INVESTIMENTO IMOBILIÁRIO- FII28/04/2025Renda3,33Híbrido4,86Ativa1.863.430439.554.00092.343.29031/03/202531/12/20240,00%7,21%0,343,61%6,2%0,302,50%0,617,867,32%33,24%-19,36%41.467.3007.867.590-18,54%006,40%31.697.2005.108.400-20,61%27.610.6006.925.750-11,04%728.930.000725.840.00033,24%-19,36%41.467.3007.867.590-18,54%006,40%31.697.2005.108.400-20,61%27.610.6006.925.750-11,04%728.930.000725.840.000364.01513,4%2023563,2%25,5%1.753
SCPF112,03SCP FII28/04/2025Renda1,79Híbrido3,84Ativa2.3158.526.0004.200.00031/03/202531/12/2024-1,46%1,94%0,0410,93%0,0%0,0013,41%0,1910,62-46,86%4,64%-58,29%3.320.850845.034-0,62%00-36,17%165.09022.418-10,44%00-30,89%46.001.50044.602.3004,64%-58,29%3.320.850845.034-0,62%00-36,17%165.09022.418-10,44%00-30,89%46.001.50044.602.30014.75238,5%5569029,2%99,9%1.792
SDIL1196,50FUNDO DE INVESTIMENTO IMOBILIARIO TELLUS RIO BRAVO RENDA LOGISTICA - FII03/07/2023Renda0,00Logística0,00Ativa0746.822.0007.739.09231/01/202531/12/20240,00%5,44%5,250,00%0,0%0,000,00%1,0096,030,00%0,00%0,00%70.380.10014.076.7007,93%79.950.000015,60%40.638.9008.628.520-4,57%00-25,32%974.625.000743.186.0000,00%0,00%70.380.10014.076.7007,93%79.950.000015,60%40.638.9008.628.520-4,57%00-25,32%974.625.000743.186.0006255.51212,8%162520,0%67,3%1.966
SHPH11920,01FUNDO DE INVESTIMENTO IMOBILIÁRIO SHOPPING PÁTIO HIGIENOPOLIS28/04/2025Renda738,95Shoppings992,87Passiva131.237560.240.000608.95028/02/202531/12/20240,52%6,28%57,796,65%6,4%59,00-3,57%0,911.015,1011,15%12,80%4,52%44.987.50011.407.10023,60%00-1,26%35.189.9007.327.020-3,09%35.928.0009.682.300-11,27%622.635.000618.144.00012,80%4,52%44.987.50011.407.10023,60%00-1,26%35.189.9007.327.020-3,09%35.928.0009.682.300-11,27%622.635.000618.144.000137.8638,0%2861.1682,6%98,2%14.534
SPTW1134,40SP DOWNTOWN FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII28/04/2025Renda28,06Lajes Corporativas39,26Passiva55.28961.851.2001.798.00028/02/202531/12/20241,03%19,19%6,601,78%14,3%4,993,05%0,5958,39-9,15%10,26%-12,94%12.832.1004.911.13019,47%00-2,02%11.870.5004.633.220-15,12%8.972.0202.265.480-16,71%105.784.000104.991.00010,26%-12,94%12.832.1004.911.13019,47%00-2,02%11.870.5004.633.220-15,12%8.972.0202.265.480-16,71%105.784.000104.991.000113.43722,0%89490,0%93,7%4.313
TEPP1187,82TELLUS PROPERTIES - FUNDO DE INVESTIMENTO IMOBILIÁRIO - RESPONSABILIDADE LIMITADA28/04/2025Renda69,39Lajes Corporativas87,82Ativa409.532370.773.0004.221.96731/03/202531/12/20241,27%2,36%2,075,42%12,2%10,797,05%0,9196,924,69%14,23%-2,40%40.340.00011.360.60050,21%35.445.800-42.022-3,48%8.756.1109.553.750-12,16%45.555.00011.399.300-10,32%569.207.000409.172.00014,23%-2,40%40.340.00011.360.60050,21%35.445.800-42.022-3,48%8.756.1109.553.750-12,16%45.555.00011.399.300-10,32%569.207.000409.172.000537.3409,2%821.0430,0%113,6%11.277
TGAR1189,96FUNDO DE INVESTIMENTO IMOBILIÁRIO TG ATIVO REAL28/04/2025Híbrido73,37Híbrido110,95Ativa5.263.9702.120.170.00023.567.96828/02/202531/12/2024-0,19%14,10%12,69-0,92%15,3%13,15-0,60%0,79113,19-17,50%6,96%-17,52%35.189.10011.003.90015,55%12.059.300397.33317,09%298.965.00078.566.1001,08%309.877.00070.703.9008,53%2.698.780.0002.667.680.0006,96%-17,52%35.189.10011.003.90015,55%12.059.300397.33317,09%298.965.00078.566.1001,08%309.877.00070.703.9008,53%2.698.780.0002.667.680.0005264.3772,3%101510,0%0,5%40
THRA11138,50FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII CYRELA THERA CORPORATE07/07/2021Renda0,00Lajes Corporativas0,00Passiva0203.973.0001.472.72830/04/202130/09/20210,00%2,96%4,090,00%0,0%0,000,00%14,529,540,00%0,00%0,00%8.173.440697.4130,00%64.940.90064.940.9000,00%6.028.970254.8400,97%00-2,30%19.746.70014.050.7000,00%0,00%8.173.440697.4130,00%64.940.90064.940.9000,00%6.028.970254.8400,97%00-2,30%19.746.70014.050.70000-0--0,0%-
TORD110,64TORDESILHAS EI FUNDO DE INVESTIMENTO IMOBILIÁRIO28/04/2025Híbrido0,61Híbrido1,82Ativa33.00322.432.90035.051.35528/02/202531/12/20240,00%0,76%0,00-11,11%0,8%0,00-12,33%0,115,91-64,64%-26,87%-59,63%388.510112.338-69,91%-339.798231-14,96%170.10990.476-0,47%171.752171.75235,40%207.575.000207.018.000-26,87%-59,63%388.510112.338-69,91%-339.798231-14,96%170.10990.476-0,47%171.752171.75235,40%207.575.000207.018.00000-0--0,0%-
TOUR118,80FUNDO DE INVESTIMENTO IMOBILIÁRIO TOURMALET II30/11/2021Desenvolvimento para Renda0,00Residencial0,00Ativa000-30/09/20210,00%--0,00%0,0%-0,00%0,00-0,00%0,00%0,00%9.08300,00%4.751.1304.044.3900,00%-1.308.420-327.724-70,12%004,31%000,00%0,00%9.08300,00%4.751.1304.044.3900,00%-1.308.420-327.724-70,12%004,31%00350.466-16500,0%0,0%0
TRNT1192,50FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII TORRE NORTE28/04/202590,03Lajes Corporativas135,9814.850364.039.0003.935.56228/02/202531/12/2024-0,54%6,21%5,74-1,61%0,7%0,64-7,50%0,53175,59-22,76%-24,17%-9,52%38.506.3009.479.97013,19%009,61%22.603.3006.787.290-36,45%2.518.7600-11,38%733.663.000691.062.000-24,17%-9,52%38.506.3009.479.97013,19%009,61%22.603.3006.787.290-36,45%2.518.7600-11,38%733.663.000691.062.000161.85510,1%38761134,2%102,6%6.037
TRXB11120,04TRX REAL ESTATE II FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII28/04/2025Títulos e Valores Mobiliários109,38Híbrido165,05Passiva3.716.240409.798.0003.413.849-31/12/2024-4,73%8,13%9,762,39%16,8%20,580,87%1,13105,93-2,06%3,54%6,12%62.190.30013.880.80021,92%37.869.600010,92%33.317.3007.958.17011,63%70.267.00010.241.50011,24%823.559.000361.638.0003,54%6,12%62.190.30013.880.80021,92%37.869.600010,92%33.317.3007.958.17011,63%70.267.00010.241.50011,24%823.559.000361.638.00013256.17214,2%132400,0%105,7%1.692
TRXF11104,50TRX REAL ESTATE FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII28/04/2025Renda88,72Híbrido104,50Ativa7.229.5302.093.720.00020.035.56331/03/202531/12/20241,06%-0,29%-0,304,67%12,1%12,584,90%1,03101,277,13%6,98%3,09%173.382.00043.857.50017,96%3.739.310-3.860.73015,61%-6.071.81062.441.0008,36%252.058.00055.899.200-7,39%3.529.100.0002.028.990.0006,98%3,09%173.382.00043.857.50017,96%3.739.310-3.860.73015,61%-6.071.81062.441.0008,36%252.058.00055.899.200-7,39%3.529.100.0002.028.990.00040676.1497,4%392200,0%96,8%2.999
URPR1156,15URCA PRIME RENDA FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII28/04/2025Híbrido47,50Outros75,28Ativa1.168.980658.858.00011.733.89528/02/202531/12/20241,54%12,71%7,14-7,05%19,6%11,16-5,62%0,5699,44-23,62%0,02%-21,11%71.077.40013.719.5001,29%1.298.360210.8816,76%83.761.50018.447.00042,48%130.950.00028.513.40033,18%1.176.840.0001.166.790.0000,02%-21,11%71.077.40013.719.5001,29%1.298.360210.8816,76%83.761.50018.447.00042,48%130.950.00028.513.40033,18%1.176.840.0001.166.790.00000-0--0,0%-
VCJR1185,00VECTIS JUROS REAL FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII28/04/2025Títulos e Valores Mobiliários63,67Títulos e Val. Mob.85,86Ativa1.380.6201.251.540.00014.723.97031/03/202531/12/20240,22%14,16%12,041,90%12,8%11,052,65%0,9292,716,94%16,87%-8,43%201.968.00043.303.60018,00%2.261.9202.137.1603,66%177.263.00037.032.3004,74%162.700.00044.171.9006,48%1.383.100.0001.365.040.00016,87%-8,43%201.968.00043.303.60018,00%2.261.9202.137.1603,66%177.263.00037.032.3004,74%162.700.00044.171.9006,48%1.383.100.0001.365.040.00000-0--0,0%-
VGHF117,66VALORA HEDGE FUND FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII28/04/2025Títulos e Valores Mobiliários6,29Títulos e Val. Mob.8,19Ativa2.837.4901.261.770.000164.721.68331/03/202531/12/20240,26%10,43%0,80-0,13%13,8%1,070,39%0,918,44-3,48%5,56%-9,79%135.744.00046.247.30018,10%5.517.02037.82712,31%131.574.00049.868.80012,80%176.252.00044.474.9000,00%1.475.690.0001.390.900.0005,56%-9,79%135.744.00046.247.30018,10%5.517.02037.82712,31%131.574.00049.868.80012,80%176.252.00044.474.9000,00%1.475.690.0001.390.900.00000-0--0,0%-
VGIP1183,54VALORA CRI ÍNDICE DE PREÇO FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII28/04/2025Títulos e Valores Mobiliários65,11Títulos e Val. Mob.84,09Ativa1.334.560984.707.00011.787.24731/03/202531/12/2024-0,65%12,22%10,213,69%12,1%10,244,42%0,9488,753,86%10,01%1,07%136.721.00030.390.90016,15%1.179.5201.688.870-2,35%120.368.00026.750.8009,37%120.701.00028.996.60052,49%1.046.950.0001.046.070.00010,01%1,07%136.721.00030.390.90016,15%1.179.5201.688.870-2,35%120.368.00026.750.8009,37%120.701.00028.996.60052,49%1.046.950.0001.046.070.00000-0--0,0%-
VGIR119,31VALORA CRI CDI FUNDO DE INVESTIMENTO IMOBILIARIO - FII28/04/2025Títulos e Valores Mobiliários7,91Títulos e Val. Mob.9,49Ativa5.923.1701.360.200.000146.101.28731/03/202531/12/20240,65%11,06%1,03-1,15%13,7%1,21-0,53%0,969,7510,58%5,21%8,36%179.723.00054.470.10016,15%2.369.6401.027.62016,23%150.372.00044.701.20023,50%177.060.00049.674.400-24,42%1.534.190.0001.423.920.0005,21%8,36%179.723.00054.470.10016,15%2.369.6401.027.62016,23%150.372.00044.701.20023,50%177.060.00049.674.400-24,42%1.534.190.0001.423.920.00000-0--0,0%-
VIFI117,53VINCI INSTRUMENTOS FINANCEIROS FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII23/01/2025Títulos e Valores Mobiliários6,09Títulos e Val. Mob.7,71Ativa060.911.6008.089.19028/02/202531/12/20240,00%11,66%0,880,00%10,5%0,780,00%0,947,970,43%11,89%-8,55%1.736.200381.43932,20%-144.200-57.6561,10%7.104.8501.540.510-12,58%6.350.0101.132.490-2,08%65.125.70064.507.80011,89%-8,55%1.736.200381.43932,20%-144.200-57.6561,10%7.104.8501.540.510-12,58%6.350.0101.132.490-2,08%65.125.70064.507.80000-0--0,0%-
VILG1186,98VINCI LOGÍSTICA FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII28/04/2025Renda65,58Logística86,98Ativa1.703.7701.304.470.00014.997.39631/03/202531/12/20243,66%8,52%7,415,34%8,6%7,586,24%0,77112,713,43%20,67%-18,25%154.615.00039.866.8007,78%1.832.4502.856.0102,93%111.108.00027.929.200-10,26%113.680.00029.694.800-2,91%2.016.920.0001.690.330.00020,67%-18,25%154.615.00039.866.8007,78%1.832.4502.856.0102,93%111.108.00027.929.200-10,26%113.680.00029.694.800-2,91%2.016.920.0001.690.330.00015645.48710,3%352363,0%113,3%2.290
VINO115,38VINCI OFFICES FUNDO DE INVESTIMENTO IMOBILIÁRIO28/04/2025Renda4,26Lajes Corporativas7,33Ativa511.501445.605.00082.826.29531/03/202531/12/20241,13%10,69%0,582,28%11,8%0,642,87%0,5210,29-21,60%12,30%-27,73%108.209.00029.321.300-12,52%16.563.0000-8,50%47.637.20016.816.000-0,38%53.174.50012.423.900-4,59%1.330.850.000852.284.00012,30%-27,73%108.209.00029.321.300-12,52%16.563.0000-8,50%47.637.20016.816.000-0,38%53.174.50012.423.900-4,59%1.330.850.000852.284.0001096.39216,3%101.0818,5%143,4%6.628
VISC11105,00VINCI SHOPPING CENTERS FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII28/04/2025Renda83,54Shoppings111,86Ativa3.919.4903.027.010.00028.828.64031/03/202531/12/20240,19%8,67%9,102,30%9,6%10,132,84%0,84124,65-2,24%11,77%-13,78%348.378.00089.133.80028,29%38.300.500011,56%262.302.00065.612.400-5,45%292.034.00069.188.700-13,99%4.172.440.0003.593.460.00011,77%-13,78%348.378.00089.133.80028,29%38.300.500011,56%262.302.00065.612.400-5,45%292.034.00069.188.700-13,99%4.172.440.0003.593.460.000301.129.2479,3%60102676,6%106,7%2.861
VLOL1198,00FUNDO DE INVESTIMENTO IMOBILIARIO - FII VILA OLIMPIA CORPORATE26/04/2023Renda0,00Lajes Corporativas0,00Passiva0174.913.0001.784.82828/04/202331/03/20230,00%6,78%6,640,00%0,0%0,000,00%0,88111,060,00%0,00%0,00%13.086.7002.350.9101,74%0010,85%11.859.0002.054.560-7,21%00-2,05%199.435.000198.219.0000,00%0,00%13.086.7002.350.9101,74%0010,85%11.859.0002.054.560-7,21%00-2,05%199.435.000198.219.00000-0--0,0%-
VOTS1175,82TIVIO SECURITIES FUNDO DE INVESTIMENTO IMOBILIÁRIO28/04/2025Títulos e Valores Mobiliários62,75Títulos e Val. Mob.78,44Ativa4.17262.772.400827.91331/03/202531/12/20240,28%13,26%10,051,86%11,3%8,640,73%0,8094,603,51%13,52%-4,69%9.263.5602.101.22013,72%-4.896.560011,81%8.320.8201.941.10015,43%7.153.1701.473.690-4,21%78.901.50078.321.80013,52%-4,69%9.263.5602.101.22013,72%-4.896.560011,81%8.320.8201.941.10015,43%7.153.1701.473.690-4,21%78.901.50078.321.80000-0--0,0%-
VRTA1182,99FATOR VERITA FUNDO DE INVESTIMENTO IMOBILIARIO28/04/2025Títulos e Valores Mobiliários67,18Títulos e Val. Mob.84,08Ativa1.457.0101.294.020.00015.592.42431/03/202531/12/20240,35%12,37%10,27-0,12%12,2%10,201,91%0,9587,306,71%9,52%-0,16%180.015.00043.772.30012,33%1.234.040-120-2,84%160.078.00040.107.3000,58%159.043.00039.760.700-6,80%1.425.980.0001.361.250.0009,52%-0,16%180.015.00043.772.30012,33%1.234.040-120-2,84%160.078.00040.107.3000,58%159.043.00039.760.700-6,80%1.425.980.0001.361.250.00000-0--0,0%-
VSEC110,21FUNDO DE INVESTIMENTO IMOBILIÁRIO VOTORANTIM SECURITIES19/07/2023Títulos e Valores Mobiliários0,00Títulos e Val. Mob.0,00Ativa013.17462.73530/06/202130/06/20230,00%700,84%1,470,00%0,0%0,000,00%0,073,000,00%0,00%0,00%-351.208-192.7161.212,50%139.886-387-17,53%92.331227.620-12,22%00-21,91%359.255188.4690,00%0,00%-351.208-192.7161.212,50%139.886-387-17,53%92.331227.620-12,22%00-21,91%359.255188.46900-0--0,0%-
VSHO1171,00FUNDO DE INVESTIMENTO IMOBILIÁRIO VOTORANTIM SHOPPING28/04/2025Renda58,97Shoppings71,01Ativa133.779149.015.0002.098.80028/02/202531/12/20241,15%11,35%8,060,86%10,7%7,653,62%0,68104,031,58%9,19%-11,47%32.271.1007.796.72039,36%160.15842.603-7,52%16.914.3004.292.5502,06%16.055.8003.987.720-30,49%220.237.000218.331.0009,19%-11,47%32.271.1007.796.72039,36%160.15842.603-7,52%16.914.3004.292.5502,06%16.055.8003.987.720-30,49%220.237.000218.331.000385.89322,3%25837610,2%97,0%1.683
VSLH112,69VERSALHES RECEBIVEIS IMOBILIARIOS - FUNDO DE INVESTIMENTO IMOBILIARIO28/04/2025Híbrido2,67Outros3,33Ativa131.02980.334.40029.864.09128/02/202531/12/20240,37%10,28%0,28-3,58%16,2%0,44-3,92%0,279,93-11,93%-10,68%-12,69%6.038.7800-49,86%177.57917.8928,82%8.257.920671.225-12,65%13.140.2002.687.7700,00%297.314.000296.532.000-10,68%-12,69%6.038.7800-49,86%177.57917.8928,82%8.257.920671.225-12,65%13.140.2002.687.7700,00%297.314.000296.532.00000-0--0,0%-
VTLT1188,30FUNDO DE INVESTIMENTO IMOBILIÁRIO VOTORANTIM LOGÍSTICA28/04/2025Renda75,91Logística89,07Ativa70.891186.754.0002.115.00031/03/202531/12/20240,85%12,78%11,293,74%12,6%11,285,11%0,84104,873,22%6,24%-1,21%26.405.8006.601.45018,40%531.421152.3147,77%23.873.6005.946.030-10,67%23.857.2006.154.6506,90%224.233.000221.797.0006,24%-1,21%26.405.8006.601.45018,40%531.421152.3147,77%23.873.6005.946.030-10,67%23.857.2006.154.6506,90%224.233.000221.797.0001249.30314,7%11060,0%96,4%722
VVPR11101,50Fundo de Investimento Imobiliário - V2 Properties29/09/2022Renda0,00Híbrido0,00Ativa0234.036.0002.305.77131/07/202230/06/20220,00%8,99%9,130,00%0,0%0,000,00%1,0498,030,00%0,00%0,00%23.798.7006.169.5800,00%-3.294-3.29318,09%21.049.0005.540.960-0,48%00-2,39%230.572.000226.032.0000,00%0,00%23.798.7006.169.5800,00%-3.294-3.29318,09%21.049.0005.540.960-0,48%00-2,39%230.572.000226.032.000642.6689,9%65270,0%97,3%5.334
WPLZ1148,00SHOPPING WEST PLAZA FUNDO DE INVESTIMENTO IMOBILIARIO28/04/2025Renda44,97Shoppings60,12Passiva7.60255.370.4001.153.54931/03/202531/12/2024-5,14%8,67%4,16-7,12%8,6%3,92-5,76%0,7266,72-14,81%-0,04%-18,32%5.299.040960.377-11,19%0022,22%4.803.260852.771-4,67%4.518.8401.093.970-26,62%78.400.90076.967.500-0,04%-18,32%5.299.040960.377-11,19%0022,22%4.803.260852.771-4,67%4.518.8401.093.970-26,62%78.400.90076.967.500135.8169,8%1661438,3%94,7%1.464
WTSP1156,95FUNDO DE INVESTIMENTO IMOBILIÁRIO OURINVEST RE I25/04/2025Renda26,29Híbrido72,30Ativa3.35970.536.7001.238.57231/03/202531/12/20240,00%23,54%13,400,00%20,2%13,170,00%0,6884,15103,36%-0,85%117,96%4.400.4701.665.2703,54%000,00%16.602.3001.407.0400,00%16.313.500185.7860,00%104.516.000104.227.000-0,85%117,96%4.400.4701.665.2703,54%000,00%16.602.3001.407.0400,00%16.313.500185.7860,00%104.516.000104.227.000112.2835,6%113233,5%99,6%5.721
XPCI1179,47XP CRÉDITO IMOBILIÁRIO - FUNDO DE INVESTIMENTO IMOBILIÁRIO28/04/2025Títulos e Valores Mobiliários64,50Títulos e Val. Mob.81,28Ativa1.400.450691.512.0008.701.55231/03/202531/12/2024-0,67%12,02%9,55-0,84%12,7%10,201,61%0,9187,530,95%6,29%1,38%90.962.00022.002.60021,89%8.347.3901.065.280-4,68%83.114.20020.155.40017,38%88.755.80021.927.900-3,98%769.653.000761.623.0006,29%1,38%90.962.00022.002.60021,89%8.347.3901.065.280-4,68%83.114.20020.155.40017,38%88.755.80021.927.900-3,98%769.653.000761.623.00000-0--0,0%-
XPCM117,02XP CORPORATE MACAÉ FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII28/04/2025Renda6,31Lajes Corporativas9,53Passiva12.48816.950.3002.414.57031/03/202531/12/2024-1,27%-20,36%-1,431,74%0,0%0,000,29%0,2626,90-22,17%4,78%-34,44%950.854261.207-22,06%00-28,06%-3.450.320-207.037-49,85%00-20,77%66.797.50064.950.4004,78%-34,44%950.854261.207-22,06%00-28,06%-3.450.320-207.037-49,85%00-20,77%66.797.50064.950.400119.6643,7%13263,0%99,8%860
XPHT11123,00BTG HOTÉIS FUNDO DE INVESTIMENTO IMOBILIÁRIO RESPONSABILIDADE LIMITADA01/08/2023Híbrido0,00Hotel0,00Ativa01.133.880.0009.218.51228/02/202531/12/20240,00%3,07%3,780,00%0,0%0,000,00%1,7868,910,00%0,00%0,00%39.842.00011.804.40020,52%0025,27%34.840.40010.457.3007,89%00-11,18%635.607.000635.266.0000,00%0,00%39.842.00011.804.40020,52%0025,27%34.840.40010.457.3007,89%00-11,18%635.607.000635.266.0001449.3793,5%2656920,0%86,2%19.789
XPIN1170,49XP Industrial Fundo de Investimento Imobiliário28/04/2025Renda59,11Outros72,91Ativa345.172504.033.0007.150.42231/03/202531/12/20242,38%8,83%6,230,65%11,6%8,282,18%0,68103,711,99%8,93%-6,54%65.570.40015.786.90020,08%18.427.200490.541-13,73%44.520.7007.600.340-14,00%59.205.50015.873.900-7,72%875.655.000741.554.0008,93%-6,54%65.570.40015.786.90020,08%18.427.200490.541-13,73%44.520.7007.600.340-14,00%59.205.50015.873.900-7,72%875.655.000741.554.00081267.90312,4%812453,1%104,5%1.966
XPLG11102,70XP Log Fundo de Investimento Imobiliário - FII28/04/2025Híbrido84,78Logística102,95Ativa3.304.0603.201.770.00031.175.93131/03/202531/12/2024-0,24%7,22%7,415,90%9,2%9,258,11%0,96106,778,06%13,01%-5,39%224.797.00060.739.80020,05%87.730.3004.853.2305,19%231.013.00060.785.300-11,63%288.225.00076.692.800-11,05%3.757.070.0003.328.720.00013,01%-5,39%224.797.00060.739.80020,05%87.730.3004.853.2305,19%231.013.00060.785.300-11,63%288.225.00076.692.800-11,05%3.757.070.0003.328.720.00017904.3688,2%932491,3%85,2%3.017
XPML11106,30XP MALLS FUNDO DE INVESTIMENTO IMOBILIÁRIO FII28/04/2025Renda87,05Shoppings106,81Ativa12.838.6006.029.420.00056.720.78731/03/202531/12/2024-0,48%8,88%9,444,77%10,3%10,866,52%0,91117,331,87%12,95%-7,59%632.845.000195.342.00035,40%73.317.60005,29%535.374.000172.556.000-10,22%615.889.000156.549.000-12,53%7.965.480.0006.655.270.00012,95%-7,59%632.845.000195.342.00035,40%73.317.60005,29%535.374.000172.556.000-10,22%615.889.000156.549.000-12,53%7.965.480.0006.655.270.00023912.4707,7%46364323,8%84,8%5.607
XPPR1112,54V2 PRIME PROPERTIES FUNDO DE INVESTIMENTO IMOBILIÁRIO - FII04/02/2025Renda12,48Outros19,76Ativa091.744.8007.316.17128/02/202531/12/20240,00%6,87%0,860,00%5,0%0,630,00%0,3139,82-37,92%-3,76%-39,77%22.809.3004.209.710-24,79%931.601121.177-47,73%6.306.500287.882-9,45%4.609.1900-22,58%615.113.000291.356.000-3,76%-39,77%22.809.3004.209.710-24,79%931.601121.177-47,73%6.306.500287.882-9,45%4.609.1900-22,58%615.113.000291.356.000256.39815,9%4940445,2%156,8%2.550
XPSF116,32XP SELECTION FUNDO DE FUNDOS DE INVESTIMENTO IMOBILIÁRIO - FII28/04/2025Títulos e Valores Mobiliários5,32Títulos e Val. Mob.7,34Ativa609.388273.670.00043.302.14031/03/202531/12/20241,77%13,25%0,846,21%12,9%0,836,57%0,847,49-12,91%3,23%-14,04%39.920.50010.754.60023,30%2.351.90025.9603,30%36.269.0009.963.360-6,61%35.767.6007.794.3802,78%327.201.000324.337.0003,23%-14,04%39.920.50010.754.60023,30%2.351.90025.9603,30%36.269.0009.963.360-6,61%35.767.6007.794.3802,78%327.201.000324.337.00000-0--0,0%-
XTED118,82V2 EDIFICIOS CORPORATIVOS FUNDO DE INVESTIMENTO IMOBILIARIO21/11/2022Renda0,00Lajes Corporativas0,00Ativa087.318.0009.900.00028/02/202531/12/20240,00%9,35%0,830,00%0,0%0,000,00%0,6114,470,00%0,00%0,00%10.866.0002.754.2100,00%-976.440-690.77240,87%8.167.9202.061.650-10,23%00-60,65%143.593.000143.267.0000,00%0,00%10.866.0002.754.2100,00%-976.440-690.77240,87%8.167.9202.061.650-10,23%00-60,65%143.593.000143.267.000415.2389,8%653660,0%65,0%3.727