PT

Dados B3 › Real estate funds › MIDW11

Multi-strategy

MIDW11 — MIDWAY MALL FUNDO DE INVESTIMENTO IMOBILIÁRIO RL

CNPJ 63.992.956/0001-37 · management: ativa · since 2025-12-17

Multi-strategysegment
ativamanagement
2025since
103shareholders
0.18NAV (R$ bn)
18,900,000shares
R$ 9.74NAV per share
1properties
67,000floor area (m²)

Registry and latest monthly report filed with the CVM · report 2026-08 · quarterly report 2026-06 · restated monthly reports · watcher events

R$ 11.00close of 2026-09-23 · B3 (COTAHIST), updated nightly — the price the API, the MCP and the dump serve

1m +0.2% · 12m — · YTD — · since 2026-01 R$ 9.95–11.15

15-minute delayed quote, shown by TradingView — display only: it never enters our API, MCP or dump
1.13P/BV
report 2026-08 · segment 0.83 · 69 funds
3.9%!DY 12m
R$ 0.43/share · segment 14.3% · 69 funds
0.0%vacancy
2026-06
P/BV priced at the session of 2026-09-23 (R$ 11.00), the first one from the day the 2026-08 monthly report reached the regulator (2026-09-15) onwards, over a NAV per share of R$ 9.74 — point-in-time, not today's price over today's NAV. Illiquid fund: fewer than 5,000 shareholders — the P/BV may not be a market price, and the fund stays out of the rankings.

At a glance

Closing price, point-in-time P/BV and monthly distribution per share, all from the base. Hover a point for the exact figure; the tables below have every row.

Close, daily, 5 years · return +10.0% · not split-adjustedR$ 11.00 2026-09-23
high 2026-08-27: R$ 11.15low 2026-02-20: R$ 9.952026-09-23: R$ 11.00
2026low R$ 9.95 · high R$ 11.152026

P/BV report by report

Each row is a monthly report: the NAV per share it declared and the price of the first session from the date the report reached the regulator — the same day when it arrives while the market is still open, which is what happens on most rows. Never an earlier session: the price never knows about a report that did not yet exist. A figure with a caveat carries the caveat next to it. Nothing is hidden.

reportpublishedsessionpriceNAV/shareP/BV
2026-082026-09-152026-09-2311.009.741.13
2026-072026-08-142026-08-1810.989.721.13
2026-062026-07-152026-07-1610.679.611.11
2026-052026-06-152026-06-1710.709.751.10
2026-042026-05-152026-05-1510.699.831.09
2026-032026-04-152026-04-1710.669.851.08
2026-022026-03-132026-03-1610.679.921.08
2026-012026-02-132026-02-209.959.921.00
2025-122026-01-152026-01-1910.009.971.00

Recent distributions

Sum of the last 12 months' distributions (R$ 0.43 per share, 6 payments) over the price of 2026-09-23 (R$ 11.00). Distribution of cash, not accounting profit. parcial_6_meses

ex-datepaymenttypeper share
2026-09-152026-09-22rendimentoR$ 0.0650
2026-08-142026-08-21rendimentoR$ 0.0190
2026-06-232026-06-30rendimentoR$ 0.0900
2026-05-222026-05-29rendimentoR$ 0.0900
2026-04-242026-04-30rendimentoR$ 0.0600
2026-03-242026-03-31rendimentoR$ 0.1100

Vacancy and delinquency (quarterly report)

Brick-and-mortar funds only. Weighted by the reported floor area. A flagged row is source data with ambiguous semantics — it ships with the flag, it does not vanish.

quartervacancydelinquencypropertiessqmcaveat
2026-060.0%0.0%167,000—

Peers

Liquid peers in Multi-strategy: 69. Compare, but remember the NAV is an appraisal, not a sale price.

Other funds in Multi-strategy

159 more with a page, same CVM segment — a classification of the regulator's, not ours.

Take this into your code

The same URL returns JSON when asked for JSON: GET /fiis/MIDW11 with Accept: application/json and the X-API-Key header. MXRF11 is open for testing without a key; for the rest, create a free key (200 calls/day, no card).

Price coverage: 68 sessions, 2026-01-19 → 2026-09-23 · methodology · what P/BV means for a fund

Sources: CVM (open data, ODbL) and B3 (COTAHIST). Not affiliated with B3 or the CVM. Not investment advice.

Numbers on this page are live. Data version 2026-09-27-reapresentacao-agreg · page generated 2026-09-27 07:47 UTC. If this does not match /saude, you are reading a cached copy.