صفحة النتائج 3 القطاع: الخدمات المالية الصناعة: إدارة الأصول سوق الأسهم - العروض والأسعار
قائمة بجميع الأوراق المالية والأسهم مع الأسعار، والقيم السوقية، ونسبة السعر إلى الربح، والأرباح للسهم الواحد
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الاسم الاسم | السعر السعر |
مخطط 24 ساعة% 7 أيام 24 ساعة% و7 أيام |
القيمة السوقية القيمة السوقية | الحجم حجم التداول | القاع (24 ساعة) | القمة (24 ساعة) | القيمة السوقية | نسبة السعر/الأرباح | EPS |
---|
الاسم الاسم | السعر السعر |
مخطط 24 ساعة% 7 أيام 24 ساعة% و7 أيام |
القيمة السوقية القيمة السوقية | الحجم حجم التداول | القاع (24 ساعة) | القمة (24 ساعة) | القيمة السوقية | نسبة السعر/الأرباح | EPS | |
---|---|---|---|---|---|---|---|---|---|---|
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|
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BKI Investment Company Limited BKI.AX | $1.71 1.13 USD |
+0.59
|
$1.37B 908.32M USD | $119.45K 79.06K USD | $1.7 1.12 USD | $1.71 1.13 USD | $1.37B 908.32M USD | 18.94 | $0.09 0.06 USD | |
Kunwu Jiuding Investment Holdings Co., Ltd. 600053.SS | $14.94 2.08 USD |
+1.7
|
$6.48B 900.6M USD | $3.98M 553.93K USD | $14.69 2.04 USD | $15.09 2.1 USD | $6.48B 900.6M USD | 149.40 | $0.1 0.01 USD | |
Eaton Vance Tax-Managed Global Buy-Write Opportunities Fund ETW | $8.21 — |
-0.12
|
$899.8M — | $192.3K — | $8.18 — | $8.23 — | $899.8M — | 5.99 | $1.37 — | |
Carlyle Secured Lending CGBD | $17.56 — |
-2.17
|
$891.96M — | $494.07K — | $17.55 — | $18.05 — | $891.96M — | 10.70 | $1.64 — | |
Abrdn Healthcare Investors HQH | $17.53 — |
-0.27
|
$887.55M — | $176.85K — | $17.46 — | $17.68 — | $887.55M — | 16.08 | $1.09 — | |
BrightSphere Inv BSIG | $23.46 — |
+2.89
|
$885.94M — | $191.08K — | $22.78 — | $23.47 — | $885.94M — | 14.30 | $1.64 — | |
SLR Inv SLRC | $16.16 — |
+0.5
|
$881.6M — | $121.68K — | $16.03 — | $16.19 — | $881.6M — | 11.54 | $1.4 — | |
Abrdn Total Dynamic Dividend Fund AOD | $8.36 — |
-0.36
|
$881.4M — | $126.54K — | $8.35 — | $8.4 — | $881.4M — | 13.26 | $0.63 — | |
BlackRock Municipal Income Fund MUI | $12.21 — |
-0.2
|
$878.66M — | $201.34K — | $12.2 — | $12.22 — | $878.66M — | 30.51 | $0.4 — | |
BlackRock MuniYield Quality Fund MQY | $12.13 — |
-0.33
|
$871.34M — | $115.32K — | $12.11 — | $12.21 — | $871.34M — | 29.58 | $0.41 — | |
Eagle Point Credit Company ECC | $10.2 — |
0
|
$870.08M — | $766.55K — | $10.17 — | $10.22 — | $870.08M — | 5.86 | $1.74 — | |
Australian United Investment Company Limited AUI.AX | $10.4 6.88 USD |
+0.19
|
$1.3B 861.38M USD | $2.4K 1.59K USD | $10.34 6.84 USD | $10.4 6.88 USD | $1.3B 861.38M USD | 25.99 | $0.4 0.26 USD | |
Calamos Convertible and High Income Fund CHY | $11.14 — |
+0.27
|
$855.14M — | $227.33K — | $11.08 — | $11.25 — | $855.14M — | 0 | -$0.12 — | |
BlackRock Enhanced Capital and Income Fund CII | $19.31 — |
-0.1
|
$852.48M — | $51.11K — | $19.25 — | $19.4 — | $852.48M — | 5.59 | $3.45 — | |
Calamos Convertible Opportunities and Income Fund CHI | $11.31 — |
+1.43
|
$850.94M — | $536.15K — | $11.06 — | $11.56 — | $850.94M — | 0 | -$0.13 — | |
Abrdn Healthcare Opportunities Fund THQ | $20.55 — |
-0.19
|
$849.87M — | $109.51K — | $20.48 — | $20.63 — | $849.87M — | 0 | -$1.48 — | |
Tetragon Financial Ord TFG.AS | $10.4 — |
+1.46
|
$844.48M — | $4.1K — | $10.25 — | $10.4 — | $844.48M — | 6.79 | $1.53 — | |
Cornerstone Total Return Fund CRF | $7.47 — |
-0.27
|
$824.38M — | $523.02K — | $7.46 — | $7.52 — | $824.38M — | 4.47 | $1.67 — | |
Bangkok Commercial Asset Management Public Company Limited BAM.BK | $8.95 0.25 USD |
+2.87
|
$28.93B 813.92M USD | $13.83M 389.18K USD | $8.8 0.25 USD | $9 0.25 USD | $28.93B 813.92M USD | 17.21 | $0.52 0.01 USD | |
Blackrock Resources & Commodities Strategy Trust BCX | $9.39 — |
+0.32
|
$792.17M — | $239.76K — | $9.3 — | $9.4 — | $792.17M — | 7.45 | $1.26 — | |
Nuveen Credit Strategies Income Fund JQC | $5.58 — |
-0.89
|
$756.7M — | $659.8K — | $5.56 — | $5.63 — | $756.7M — | 9.78 | $0.57 — | |
PennantPark Floating Rate Capital PFLT | $11.26 — |
-0.79
|
$751.36M — | $4.96M — | $11.15 — | $11.45 — | $751.36M — | 7.31 | $1.54 — | |
Eaton Vance Municipal Bond Fund EIM | $10.55 — |
-0.14
|
$750.67M — | $102.29K — | $10.55 — | $10.6 — | $750.67M — | 117.22 | $0.09 — | |
Eaton Vance Enhanced Equity Income Fund EOI | $18.5 — |
-0.22
|
$746.79M — | $90.73K — | $18.43 — | $18.63 — | $746.79M — | 6.67 | $2.77 — | |
BlackRock MuniYield Quality Fund III MYI | $11.15 — |
-0.09
|
$741.11M — | $189.66K — | $11.12 — | $11.2 — | $741.11M — | 26.54 | $0.42 — | |
Trinity Capital TRIN | $14.88 — |
-0.17
|
$736.24M — | $303.37K — | $14.82 — | $14.98 — | $736.24M — | 9.35 | $1.59 — | |
Associated Capital AC | $34.38 — |
+1.15
|
$736.13M — | $3.41K — | $34.34 — | $34.39 — | $736.13M — | 19.98 | $1.72 — | |
MLP SE MLP.DE | $6.15 6.72 USD |
+5.49
|
$672.4M 735.02M USD | $227.23K 248.39K USD | $5.78 6.32 USD | $6.15 6.72 USD | $672.4M 735.02M USD | 13.97 | $0.44 0.48 USD | |
John Hancock Tax-Advantaged Dividend Income Fund HTD | $20.49 — |
-0.1
|
$726M — | $71.81K — | $20.41 — | $20.63 — | $726M — | 0 | -$2 — | |
PIMCO High Income Fund PHK | $4.76 — |
-0.63
|
$722.38M — | $608.74K — | $4.73 — | $4.79 — | $722.38M — | 8.35 | $0.57 — | |
CBRE Global Real Estate Income Fund IGR | $5.16 — |
-0.77
|
$722.2M — | $900.99K — | $5.11 — | $5.27 — | $722.2M — | 6.14 | $0.84 — | |
Diversified United Investment Limited DUI.AX | $5 3.31 USD |
+0.81
|
$1.09B 718.77M USD | $114.94K 76.07K USD | $4.95 3.28 USD | $5.01 3.32 USD | $1.09B 718.77M USD | 27.77 | $0.18 0.12 USD | |
Flaherty & Crumrine Preferred Securities Income Fund FFC | $14.69 — |
+0.41
|
$707.73M — | $97.05K — | $14.64 — | $14.72 — | $707.73M — | 0 | -$1.81 — | |
Brookfield Real Assets Income Fund RA | $12.66 — |
-0.16
|
$702.07M — | $142.12K — | $12.63 — | $12.68 — | $702.07M — | 23.01 | $0.55 — | |
PIMCO Corporate & Income Strategy Fund PCN | $12.79 — |
+0.08
|
$695.86M — | $176.65K — | $12.77 — | $12.85 — | $695.86M — | 14.37 | $0.89 — | |
Nuveen Select Tax-Free Income Portfolio NXP | $14.39 — |
-0.28
|
$679.34M — | $55.16K — | $14.39 — | $14.45 — | $679.34M — | 26.64 | $0.54 — | |
Invesco Senior Income Trust VVR | $4.39 — |
+0.69
|
$672.11M — | $634.15K — | $4.37 — | $4.42 — | $672.11M — | 10.97 | $0.4 — | |
CION Inv CION | $12.45 — |
+0.73
|
$667.18M — | $204.02K — | $12.31 — | $12.47 — | $667.18M — | 5.14 | $2.42 — | |
Svolder AB (publ) SVOL-B.ST | $64.75 6.32 USD |
-6.97
|
$6.82B 665.94M USD | $1.44M 140.48K USD | $62.5 6.1 USD | $69.25 6.76 USD | $6.82B 665.94M USD | 1.85 | $34.9 3.41 USD | |
Crescent Capital BDC CCAP | $17.85 — |
-1.46
|
$661.36M — | $1.64M — | $17.73 — | $18.2 — | $661.36M — | 7.65 | $2.33 — | |
BlackRock Enhanced Global Dividend Trust BOE | $10.56 — |
-0.09
|
$649.71M — | $246.71K — | $10.52 — | $10.58 — | $649.71M — | 6.60 | $1.6 — | |
Abrdn Asia-Pacific Income Fund FAX | $2.62 — |
-1.13
|
$648.96M — | $1.16M — | $2.6 — | $2.65 — | $648.96M — | 8.45 | $0.31 — | |
Invesco Municipal Opportunity Trust VMO | $9.57 — |
-0.73
|
$645.41M — | $130.13K — | $9.56 — | $9.63 — | $645.41M — | 0 | -$0.01 — | |
Zhuhai Huajin Capital Co., Ltd. 000532.SZ | $13.23 1.84 USD |
+1.77
|
$4.56B 634.11M USD | $27.39M 3.81M USD | $12.89 1.79 USD | $13.47 1.87 USD | $4.56B 634.11M USD | 26.99 | $0.49 0.07 USD | |
ClearBridge MLP and Midstream Fund CEM | $47.68 — |
+0.1
|
$633.87M — | $34.61K — | $47.45 — | $47.87 — | $633.87M — | 0 | -$3.33 — | |
PIMCO Income Strategy Fund II PFN | $7.35 — |
0
|
$633.06M — | $213.08K — | $7.31 — | $7.37 — | $633.06M — | 8.75 | $0.84 — | |
Virtus Equity & Convertible Income Fund NIE | $22.57 — |
-0.44
|
$625.39M — | $77.18K — | $22.56 — | $22.7 — | $625.39M — | 0 | -$3.86 — | |
GAMCO Global Gold, Natural Resources & Income Trust GGN | $4.05 — |
-2.41
|
$624.9M — | $681.11K — | $4.05 — | $4.14 — | $624.9M — | 8.26 | $0.49 — | |
Fidus Inv FDUS | $19.79 — |
-0.05
|
$624.45M — | $147.66K — | $19.76 — | $19.91 — | $624.45M — | 6.68 | $2.96 — | |
BlackRock MuniHoldings Fund MHD | $11.85 — |
-0.08
|
$617.88M — | $121.49K — | $11.83 — | $11.91 — | $617.88M — | 38.22 | $0.31 — | |
Calamos Dynamic Convertible and Income Fund CCD | $22.77 — |
-0.22
|
$609.61M — | $60.55K — | $22.69 — | $22.87 — | $609.61M — | 0 | -$2.43 — | |
Plato Income Maximiser Limited PL8.AX | $1.22 0.8 USD |
+1.29
|
$909.59M 602.02M USD | $711.36K 470.82K USD | $1.21 0.8 USD | $1.22 0.81 USD | $909.59M 602.02M USD | 15.18 | $0.08 0.05 USD | |
BlackRock MuniHoldings New Jersey Quality Fund MUJ | $11.29 — |
-0.27
|
$600.46M — | $64.23K — | $11.28 — | $11.35 — | $600.46M — | 25.65 | $0.44 — | |
Adams Natural Resources Fund PEO | $23.42 — |
-0.13
|
$597.55M — | $22.43K — | $23.37 — | $23.55 — | $597.55M — | 58.54 | $0.4 — | |
PM Capital Global Opportunities Fund Limited PGF.AX | $2.2 1.46 USD |
+2.33
|
$901.27M 596.51M USD | $233.44K 154.5K USD | $2.16 1.43 USD | $2.22 1.47 USD | $901.27M 596.51M USD | 6.87 | $0.32 0.21 USD | |
Navigator Global Investments Limited NGI.AX | $1.84 1.21 USD |
+1.94
|
$896.67M 593.46M USD | $362.75K 240.09K USD | $1.8 1.19 USD | $1.84 1.22 USD | $896.67M 593.46M USD | 61.16 | $0.03 0.02 USD | |
John Hancock Premium Dividend Fund PDT | $11.8 — |
+0.25
|
$580.39M — | $89.21K — | $11.74 — | $11.8 — | $580.39M — | 0 | -$0.91 — | |
BlackRock Multi-Sector Income Trust BIT | $15.23 — |
-0.26
|
$576.01M — | $110.06K — | $15.19 — | $15.35 — | $576.01M — | 0 | $0 — | |
Pacific Century Regional Developments Limited P15.SI | $0.2899 0.22 USD |
0
|
$767.62M 575.3M USD | $6K 4.5K USD | $0.2899 0.22 USD | $0.2999 0.22 USD | $767.62M 575.3M USD | 0 | -$0.01 -0.007 USD | |
Vinci Partners Investments VINP | $10.8 — |
+0.75
|
$575.04M — | $26.05K — | $10.68 — | $10.88 — | $575.04M — | 13.50 | $0.8 — | |
Evli Oyj EVLI.HE | $19.85 21.7 USD |
+0.51
|
$525.73M 574.69M USD | $1.58K 1.72K USD | $19.4 21.21 USD | $19.85 21.7 USD | $525.73M 574.69M USD | 12.56 | $1.58 1.73 USD | |
BlackRock Core Bond Trust BHK | $10.61 — |
+0.38
|
$573.05M — | $191.31K — | $10.54 — | $10.64 — | $573.05M — | 10.30 | $1.03 — | |
Eaton Vance Risk-Managed Diversified Equity Income Fund ETJ | $8.46 — |
-0.7
|
$569.37M — | $117.91K — | $8.46 — | $8.55 — | $569.37M — | 7.98 | $1.06 — | |
Deutsche Beteiligungs AG DBAN.DE | $27.7 30.28 USD |
-1.95
|
$518.68M 566.98M USD | $10.97K 11.99K USD | $27.55 30.12 USD | $28.35 30.99 USD | $518.68M 566.98M USD | 8.90 | $3.11 3.4 USD | |
John Hancock Financial Opportunities Fund BTO | $28.78 — |
-0.48
|
$566.58M — | $45.8K — | $28.67 — | $28.99 — | $566.58M — | 92.83 | $0.31 — | |
Fiera Capital FRRPF | $5.29 — |
+3.05
|
$565.98M — | $2 — | $5.29 — | $5.29 — | $565.98M — | 12.30 | $0.43 — | |
Alaris Equity Partners Income Trust AD-UN.TO | $16.75 12.43 USD |
+0.9
|
$762.09M 565.52M USD | $45.83K 34K USD | $16.6 12.32 USD | $16.73 12.41 USD | $762.09M 565.52M USD | 3.86 | $4.33 3.21 USD | |
Western Asset Managed Municipals Fund MMU | $10.26 — |
+0.39
|
$561.92M — | $110.63K — | $10.21 — | $10.27 — | $561.92M — | 23.31 | $0.44 — | |
Nuveen California AMT-Free Quality Municipal Income Fund NKX | $11.81 — |
+0.08
|
$561.21M — | $117.05K — | $11.8 — | $11.88 — | $561.21M — | 0 | -$0.28 — | |
BlackRock Health Sciences Trust BME | $40.15 — |
-0.12
|
$559.85M — | $38.14K — | $40.1 — | $40.3 — | $559.85M — | 27.88 | $1.44 — | |
The India Fund IFN | $17.91 — |
-0.22
|
$556.22M — | $258.02K — | $17.77 — | $18.05 — | $556.22M — | 5.54 | $3.23 — | |
MA Financial Group Limited MAF.AX | $4.63 3.06 USD |
-0.86
|
$839.62M 555.71M USD | $131.78K 87.22K USD | $4.59 3.04 USD | $4.75 3.14 USD | $839.62M 555.71M USD | 24.36 | $0.19 0.13 USD | |
PIMCO Municipal Income Fund II PML | $8.35 — |
+0.06
|
$554.25M — | $61.14K — | $8.33 — | $8.35 — | $554.25M — | 12.45 | $0.67 — | |
BlackRock Enhanced International Dividend Trust BGY | $5.51 — |
+0.36
|
$552.5M — | $294.96K — | $5.46 — | $5.53 — | $552.5M — | 6.55 | $0.84 — | |
Invesco Value Municipal Income Trust IIM | $11.72 — |
+0.09
|
$551.64M — | $66.31K — | $11.7 — | $11.74 — | $551.64M — | 586.00 | $0.02 — | |
Fiera Capital Corporation FSZ.TO | $7 5.19 USD |
-1.2
|
$741.04M 549.9M USD | $316.43K 234.81K USD | $6.94 5.15 USD | $7.14 5.3 USD | $741.04M 549.9M USD | 11.86 | $0.59 0.44 USD | |
Western Asset Emerging Markets Debt Fund EMD | $9.36 — |
+0.11
|
$547.03M — | $195.97K — | $9.3 — | $9.38 — | $547.03M — | 7.73 | $1.21 — | |
ClearBridge Energy Midstream Opportunity Fund EMO | $42.73 — |
+0.28
|
$546.4M — | $46.47K — | $42.66 — | $42.88 — | $546.4M — | 0 | -$2.76 — | |
EQT Holdings Limited EQT.AX | $30.61 20.26 USD |
-1.03
|
$816.61M 540.48M USD | $15.1K 9.99K USD | $30.34 20.08 USD | $31.93 21.13 USD | $816.61M 540.48M USD | 31.55 | $0.97 0.64 USD | |
Blackstone Strategic Credit 2027 Term Fund BGB | $12.1 — |
-0.21
|
$540.22M — | $91.07K — | $12.09 — | $12.13 — | $540.22M — | 13.90 | $0.87 — | |
Invesco Trust for Investment Grade Municipals VGM | $9.87 — |
-0.2
|
$535.27M — | $80.79K — | $9.86 — | $9.9 — | $535.27M — | 987.00 | $0.01 — | |
Leonteq AG LEON.SW | $27.45 31.23 USD |
+1.67
|
$469.83M 534.57M USD | $21.33K 24.27K USD | $26.85 30.55 USD | $27.45 31.23 USD | $469.83M 534.57M USD | 24.72 | $1.11 1.26 USD | |
Invesco Municipal Trust VKQ | $9.61 — |
-0.62
|
$531.77M — | $133.34K — | $9.61 — | $9.68 — | $531.77M — | 480.50 | $0.02 — | |
Western Asset Inflation-Linked Opportunities & Income Fund WIW | $8.66 — |
+0.12
|
$529.85M — | $137.37K — | $8.62 — | $8.66 — | $529.85M — | 433.00 | $0.02 — | |
WealthNavi Inc. 7342.T | $1,327 8.96 USD |
-9.6
|
$78.15B 527.52M USD | $2.85M 19.24K USD | $1,298 8.76 USD | $1,385 9.35 USD | $78.15B 527.52M USD | 231.58 | $5.73 0.04 USD | |
Shanghai Guijiu Co.,Ltd 600696.SS | $11.3 1.57 USD |
+1.8
|
$3.78B 525.51M USD | $6.17M 857.35K USD | $10.86 1.51 USD | $11.59 1.61 USD | $3.78B 525.51M USD | 102.72 | $0.11 0.02 USD | |
WAM Global Limited WGB.AX | $2.23 1.48 USD |
+1.36
|
$792.23M 524.34M USD | $417.04K 276.02K USD | $2.2 1.46 USD | $2.23 1.48 USD | $792.23M 524.34M USD | 9.29 | $0.24 0.16 USD | |
Columbia Seligman Premium Technology Growth Fund STK | $31.74 — |
-0.5
|
$523.32M — | $24.57K — | $31.68 — | $31.94 — | $523.32M — | 5.84 | $5.43 — | |
Nuveen Dow 30 Dynamic Overwrite Fund DIAX | $14.34 — |
-0.21
|
$521.5M — | $61.47K — | $14.32 — | $14.41 — | $521.5M — | 12.15 | $1.18 — | |
Gladstone Inv GAIN | $14.19 — |
+0.42
|
$520.61M — | $67.47K — | $14.12 — | $14.2 — | $520.61M — | 5.74 | $2.47 — | |
Djerriwarrh Investments Limited DJW.AX | $2.98 1.97 USD |
+0.68
|
$783.72M 518.71M USD | $229.1K 151.63K USD | $2.97 1.97 USD | $3 1.99 USD | $783.72M 518.71M USD | 19.86 | $0.15 0.1 USD | |
BlackRock Utilities, Infrastructure & Power Opportunities Trust BUI | $22.62 — |
+0.27
|
$508.38M — | $63.99K — | $22.6 — | $22.87 — | $508.38M — | 8.22 | $2.75 — | |
BlackRock Debt Strategies Fund DSU | $10.89 — |
-1.18
|
$507.59M — | $133.68K — | $10.88 — | $11.04 — | $507.59M — | 7.25 | $1.5 — | |
BlackRock Municipal Income Trust II BLE | $10.62 — |
+0.19
|
$506.86M — | $110.83K — | $10.58 — | $10.64 — | $506.86M — | 28.70 | $0.37 — | |
Invesco Quality Municipal Income Trust IQI | $9.58 — |
+0.21
|
$506.63M — | $116.7K — | $9.56 — | $9.63 — | $506.63M — | 0 | -$0.01 — | |
Abrdn World Healthcare Fund THW | $13.01 — |
-0.61
|
$497.56M — | $70.92K — | $13.01 — | $13.11 — | $497.56M — | 0 | -$3.54 — | |
Nuveen New Jersey Quality Municipal Income Fund NXJ | $12.01 — |
-0.37
|
$495.21M — | $19.64K — | $12.01 — | $12.09 — | $495.21M — | 57.19 | $0.21 — | |
John Hancock Preferred Income Fund III HPS | $15.47 — |
+0.19
|
$494.16M — | $32.77K — | $15.45 — | $15.51 — | $494.16M — | 193.37 | $0.08 — | |
TINC NV TINC.BR | $12.36 13.51 USD |
+0.65
|
$449.45M 491.31M USD | $37.26K 40.73K USD | $12.3 13.45 USD | $12.44 13.6 USD | $449.45M 491.31M USD | 12.23 | $1.01 1.1 USD | |
BlackRock MuniYield Fund MYD | $10.72 — |
0
|
$490.26M — | $151.31K — | $10.71 — | $10.76 — | $490.26M — | 27.48 | $0.39 — | |
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