Dividends
Reference Fiscal Year | Release Date | Payment Date | Earnings | Distributed Value | Class of Action | Total |
2024* | 12.12.2024
04.28.2025 |
12.27.2024
_ |
Dividends | R$ 0.5263 | ON | R$ 57,000,000.00 |
R$ 0.5375 | PN | |||||
2023 | 12.15.2023
05.24.2024 |
12.28.2023
05.16.2024 |
Dividends | R$ 0.5109 | ON | R$ 48,000,000.00 |
R$ 0.5399 | PN | |||||
2022 | 05.18.2023
08.09.2023 |
05.25.2023
08.18.2023 |
Dividends | R$ 0.2684 | ON | R$ 25,162,623.10 |
R$ 0.2732 | PN | |||||
2021 | 05.13.2022
09.16.2022 |
05.25.2022
09.28.2022 12.16.2022 |
Dividends | R$ 0.3848 | ON | R$ 36,115,992.20 |
R$ 0.4057 | PN | |||||
2020 | 04.30.2021
09.01.2021 11.18.2021 |
05.07.2021
09.10.2021 12.15.2021 |
Dividends | R$ 0.8411** | ON | R$ 26,315,545.43 |
R$ 0.8940** | PN | |||||
2019 | 10.13.2020 | 10.20.2020 | Dividends | R$ 0.3067** | ON | R$ 2,354,439.45 |
R$ 1.5604** | PN | |||||
2018 | 11.28.2019 | 12.03.2019 | Dividends | R$ 0.1946** | ON | R$ 1,733,628.92 |
R$ 1.6703** | PN |
*The dividend payment dates will be determined by the Company’s management, in compliance with the limits established in its Profit Allocation Policy, which states that payments shall be made by the last business day of May, August, and November.
**Values in the period do not reflect the split approved at the meetings of 09/10/2020 and 08/11/2021, in the order of 1:5 and 1:3, respectively.