صفحة النتائج 5 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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|
{{ item.marketcap }} {{ item.marketcap_usd }} | {{ item.volume }} {{ item.volume_usd }} | {{ item.low }} {{ item.low_usd }} | {{ item.high }} {{ item.high_usd }} | {{ item.marketcap }} {{ item.marketcap_usd }} | {{ item.pe }} | {{ item.eps }} {{ item.eps_usd }} | |
Nuveen Global High Income Fund JGH | $11.49 — |
-2.63
|
$266.31M — | $190.33K — | $10.54 — | $11.65 — | $266.31M — | 6.71 | $1.71 — | |
Virtus Convertible & Income Fund NCV | $11.76 — |
-1.01
|
$265.7M — | $197.96K — | $11.51 — | $11.95 — | $265.7M — | 32.66 | $0.36 — | |
PIMCO Strategic Income Fund RCS | $5.7 — |
-1.04
|
$264.82M — | $293.26K — | $5.38 — | $5.73 — | $264.82M — | 8.76 | $0.65 — | |
Rivernorth Managed Duration Municipal Income Fund RMM | $13.4 — |
-3.53
|
$264.51M — | $138.65K — | $13.38 — | $13.84 — | $264.51M — | 16.96 | $0.79 — | |
Putnam Managed Municipal Income Trust PMM | $5.91 — |
-2.48
|
$263.96M — | $147.74K — | $5.91 — | $6.04 — | $263.96M — | 4.07 | $1.45 — | |
Argo Global Listed Infrastructure Limited ALI.AX | $2.23 1.48 USD |
-0.89
|
$396.44M 262.39M USD | $144.44K 95.6K USD | $2.23 1.48 USD | $2.28 1.51 USD | $396.44M 262.39M USD | 31.85 | $0.07 0.05 USD | |
Canadian Banc Corp. BK.TO | $10.17 7.55 USD |
-3.24
|
$349.2M 259.13M USD | $345.98K 256.74K USD | $9.81 7.28 USD | $10.55 7.83 USD | $349.2M 259.13M USD | 1.93 | $5.25 3.9 USD | |
Taylor Maritime Limited TMI.L | $0.75 — |
+0.81
|
$257.83M — | $77.14K — | $0.7199 — | $0.76 — | $257.83M — | 3.10 | $0.24 — | |
Western Asset High Yield Defined Opportunity Fund HYI | $11.37 — |
+0.18
|
$257.69M — | $283.88K — | $11.05 — | $11.37 — | $257.69M — | 8.81 | $1.29 — | |
Platinum Capital Limited PMC.AX | $1.3 0.86 USD |
+3.19
|
$384.17M 254.27M USD | $548.73K 363.18K USD | $1.28 0.85 USD | $1.3 0.86 USD | $384.17M 254.27M USD | 18.50 | $0.07 0.05 USD | |
Volta Finance Limited VTA.AS | $5.9 6.45 USD |
0
|
$230.46M 251.92M USD | $13.04K 14.25K USD | $5.86 6.4 USD | $5.9 6.45 USD | $230.46M 251.92M USD | 4.46 | $1.32 1.44 USD | |
G-RESOURCES 1051.HK | $4.35 0.56 USD |
+6.1
|
$1.96B 250.74M USD | $856.62K 109.53K USD | $4.09 0.52 USD | $4.35 0.56 USD | $1.96B 250.74M USD | 5.30 | $0.82 0.1 USD | |
Highland Funds I - Highland Opportunities and Income Fund HFRO | $4.53 — |
+0.89
|
$250.49M — | $630.49K — | $4.24 — | $4.6 — | $250.49M — | 0 | -$0.6 — | |
Eaton Vance National Municipal Opportunities Trust EOT | $15.89 — |
-2.87
|
$248.28M — | $88.58K — | $15.83 — | $16.27 — | $248.28M — | 6.04 | $2.63 — | |
Nuveen Preferred Securities & Income Opportunities Fund JPI | $17.58 — |
-3.72
|
$247.88M — | $62.49K — | $17.2 — | $18.06 — | $247.88M — | 8.41 | $2.09 — | |
MFS Charter Income Trust MCR | $5.89 — |
-1.83
|
$245.83M — | $171.15K — | $5.57 — | $5.92 — | $245.83M — | 8.18 | $0.72 — | |
Nuveen AMT-Free Municipal Value Fund NUW | $13.65 — |
-1.23
|
$245.04M — | $64.95K — | $13.62 — | $13.76 — | $245.04M — | 8.98 | $1.52 — | |
BlackRock Income Trust BKT | $11.48 — |
-2.13
|
$244.61M — | $182.52K — | $11.47 — | $11.67 — | $244.61M — | 82.00 | $0.14 — | |
CHINA MERCHANTS 0133.HK | $12.46 1.59 USD |
+0.32
|
$1.9B 242.69M USD | $224K 28.64K USD | $12.16 1.55 USD | $12.68 1.62 USD | $1.9B 242.69M USD | 2.02 | $6.14 0.79 USD | |
MFS Multimarket Income Trust MMT | $4.38 — |
-1.35
|
$242.22M — | $333.82K — | $4.37 — | $4.43 — | $242.22M — | 5.47 | $0.8 — | |
Platinum Asia Investments Limited PAI.AX | $0.9899 0.65 USD |
+2.6
|
$364.65M 241.35M USD | $1.09M 720.55K USD | $0.9699 0.64 USD | $0.9899 0.66 USD | $364.65M 241.35M USD | 7.03 | $0.14 0.09 USD | |
LMP Capital and Income Fund SCD | $14.12 — |
-1.05
|
$240.04M — | $140.96K — | $13.52 — | $14.62 — | $240.04M — | 2.76 | $5.1 — | |
Gozde Girisim Sermayesi Yatirim Ortakligi A.S. GOZDE.IS | $19.82 0.62 USD |
+2.75
|
$7.63B 239.64M USD | $570.72K 17.92K USD | $19.43 0.61 USD | $19.96 0.63 USD | $7.63B 239.64M USD | 0 | -$20.58 -0.6 USD | |
BlackRock New York Municipal Income Trust BNY | $9.93 — |
-1.59
|
$239.48M — | $33.48K — | $9.87 — | $10.12 — | $239.48M — | 21.12 | $0.47 — | |
Allspring Multi-Sector Income Fund ERC | $8.53 — |
-1.9
|
$239.16M — | $135.94K — | $8.44 — | $8.74 — | $239.16M — | 6.26 | $1.36 — | |
Franklin Limited Duration Income Trust FTF | $5.86 — |
-3.93
|
$236.78M — | $558.72K — | $5.57 — | $6.03 — | $236.78M — | 11.72 | $0.5 — | |
First Trust Senior Floating Rate Income Fund II FCT | $9.08 — |
-2.78
|
$235.93M — | $330.15K — | $8.61 — | $9.24 — | $235.93M — | 9.86 | $0.92 — | |
Templeton Emerging Markets Income Fund TEI | $4.97 — |
-2.36
|
$234.73M — | $334.17K — | $4.92 — | $5.02 — | $234.73M — | 15.53 | $0.32 — | |
Gelecek Varlik Yönetimi Anonim Sirketi GLCVY.IS | $52.8 1.66 USD |
+3.12
|
$7.38B 231.64M USD | $528.74K 16.6K USD | $51.65 1.62 USD | $53.35 1.68 USD | $7.38B 231.64M USD | 14.15 | $3.73 0.12 USD | |
Catella AB (publ) CAT-B.ST | $26.84 2.62 USD |
+0.28
|
$2.37B 231.57M USD | $33.97K 3.32K USD | $26.5 2.59 USD | $27.64 2.7 USD | $2.37B 231.57M USD | 78.92 | $0.34 0.03 USD | |
TriplePoint Venture Growth BDC TPVG | $5.76 — |
-5.88
|
$231.19M — | $825.79K — | $5.53 — | $6.04 — | $231.19M — | 7.02 | $0.82 — | |
PIMCO Municipal Income Fund III PMX | $6.87 — |
-2.69
|
$229.71M — | $274.8K — | $6.85 — | $7.11 — | $229.71M — | 0 | -$0.09 — | |
Eaton Vance California Municipal Bond Fund EVM | $9.26 — |
-0.32
|
$228.47M — | $41.39K — | $9.19 — | $9.39 — | $228.47M — | 6.96 | $1.33 — | |
Helios Fairfax Partners Corporation HFPC-U.TO | $2.11 — |
-7.46
|
$228.26M — | $1.98K — | $2.11 — | $2.22 — | $228.26M — | 0 | -$0.54 — | |
RiverNorth Opportunities Fund RIV | $10.62 — |
-3.1
|
$228.03M — | $273.51K — | $10.11 — | $11.01 — | $228.03M — | 5.25 | $2.02 — | |
TCW Strategic Income Fund TSI | $4.73 — |
0
|
$226.02M — | $174.01K — | $4.61 — | $4.78 — | $226.02M — | 12.78 | $0.37 — | |
Pacific Current Group Limited PAC.AX | $11.28 7.47 USD |
+0.71
|
$340.14M 225.12M USD | $30.13K 19.94K USD | $11.25 7.45 USD | $11.39 7.54 USD | $340.14M 225.12M USD | 2.94 | $3.83 2.53 USD | |
Fair Oaks Income Limited FAIR.L | $0.52 — |
+0.04
|
$223.57M — | $397.26K — | $0.52 — | $0.53 — | $223.57M — | 10.40 | $0.05 — | |
PIMCO Municipal Income Fund PMF | $8.48 — |
-3.64
|
$222.87M — | $177.79K — | $8.43 — | $8.63 — | $222.87M — | 0 | -$0.14 — | |
North American Financial 15 Split Corp. FFN.TO | $5.08 3.77 USD |
-0.97
|
$295.2M 219.06M USD | $980.35K 727.48K USD | $4.33 3.21 USD | $5.15 3.82 USD | $295.2M 219.06M USD | 0.89 | $5.68 4.21 USD | |
Morgan Stanley India Investment Fund IIF | $22.65 — |
-0.53
|
$218.78M — | $68.21K — | $22.2 — | $22.92 — | $218.78M — | 3.57 | $6.34 — | |
Cohen & Steers Select Preferred and Income Fund PSF | $18.18 — |
-1.94
|
$218.67M — | $47.46K — | $17.93 — | $18.49 — | $218.67M — | 6.75 | $2.69 — | |
MFS Municipal Income Trust MFM | $5.3 — |
0
|
$218.29M — | $269.61K — | $5.21 — | $5.3 — | $218.29M — | 4.64 | $1.14 — | |
Japan Smaller Capitalization Fund JOF | $7.68 — |
-0.9
|
$217.6M — | $110.38K — | $7.43 — | $7.74 — | $217.6M — | 5.77 | $1.33 — | |
Nuveen Core Equity Alpha Fund JCE | $12.9 — |
-3.59
|
$217.16M — | $77.75K — | $12.51 — | $13.07 — | $217.16M — | 3.74 | $3.44 — | |
AMCIL Limited AMH.AX | $1.04 0.69 USD |
+0.98
|
$327.81M 216.96M USD | $802.77K 531.32K USD | $1.01 0.67 USD | $1.04 0.69 USD | $327.81M 216.96M USD | 51.75 | $0.02 0.01 USD | |
BlackRock MuniVest Fund II MVT | $10.39 — |
-0.86
|
$216.75M — | $125.23K — | $10.35 — | $10.56 — | $216.75M — | 18.22 | $0.57 — | |
Taaleri Oyj TAALA.HE | $7.01 7.66 USD |
+9.53
|
$197.66M 216.06M USD | $78.77K 86.11K USD | $6.68 7.3 USD | $7.09 7.75 USD | $197.66M 216.06M USD | 7.22 | $0.97 1.06 USD | |
BlackRock MuniYield Quality Fund II MQT | $9.71 — |
-1.92
|
$215.12M — | $159.76K — | $9.7 — | $9.94 — | $215.12M — | 20.65 | $0.47 — | |
BlackRock MuniHoldings Quality Fund II MUE | $9.81 — |
-1.7
|
$215.02M — | $70.48K — | $9.62 — | $10.13 — | $215.02M — | 14.42 | $0.68 — | |
Nuveen Virginia Quality Municipal Income Fund NPV | $11.55 — |
-2.04
|
$210.74M — | $30.56K — | $11.42 — | $11.73 — | $210.74M — | 11.21 | $1.03 — | |
Platinum Investment Management Limited PTM.AX | $0.55 0.36 USD |
-2.68
|
$317.28M 209.99M USD | $2.12M 1.4M USD | $0.54 0.35 USD | $0.56 0.37 USD | $317.28M 209.99M USD | 13.62 | $0.04 0.03 USD | |
Templeton Dragon Fund TDF | $8.21 — |
-8.06
|
$208.15M — | $152.19K — | $8.16 — | $8.87 — | $208.15M — | 7.67 | $1.07 — | |
Pioneer High Income Fund PHT | $7.06 — |
-1.94
|
$207.15M — | $383.85K — | $6.62 — | $7.15 — | $207.15M — | 4.83 | $1.46 — | |
Neuberger Berman High Yield Strategies Fund NHS | $6.87 — |
-5.11
|
$206.64M — | $316.52K — | $6.68 — | $7.11 — | $206.64M — | 4.77 | $1.44 — | |
Pioneer Municipal High Income Fund MHI | $9.04 — |
-0.99
|
$205.85M — | $69.28K — | $8.77 — | $9.07 — | $205.85M — | 4.36 | $2.07 — | |
WhiteHorse Finance WHF | $8.8 — |
-2.22
|
$204.54M — | $289.46K — | $8.58 — | $9.09 — | $204.54M — | 18.72 | $0.47 — | |
Nuveen Real Estate Income Fund JRS | $7.05 — |
-4.08
|
$203.69M — | $256.47K — | $6.56 — | $7.24 — | $203.69M — | 8.01 | $0.88 — | |
SWK SWKH | $16.57 — |
-2.01
|
$203.03M — | $7.51K — | $16.47 — | $16.93 — | $203.03M — | 15.34 | $1.08 — | |
CHINA VERED FIN 0245.HK | $0.04 0.0053 USD |
-2.33
|
$1.56B 199.68M USD | $50.4M 6.44M USD | $0.04 0.0052 USD | $0.04 0.0053 USD | $1.56B 199.68M USD | 4.20 | $0.01 0.001 USD | |
Virtus Convertible & Income Fund II NCZ | $10.48 — |
-2.42
|
$199.42M — | $124.24K — | $10.23 — | $10.65 — | $199.42M — | 11.90 | $0.88 — | |
Morgan Stanley China A Share Fund CAF | $11.52 — |
-5.5
|
$197.87M — | $49.41K — | $11.45 — | $12.17 — | $197.87M — | 10.37 | $1.11 — | |
Chenavari Toro Income Fund Limited TORO.L | $0.56 0.61 USD |
+0.9
|
$180.85M 197.7M USD | $63K 68.87K USD | $0.54 0.59 USD | $0.56 0.61 USD | $180.85M 197.7M USD | 7.00 | $0.08 0.09 USD | |
Credit Suisse High Yield Bond Fund DHY | $1.9 — |
-3.55
|
$196.82M — | $1.35M — | $1.82 — | $1.95 — | $196.82M — | 5.13 | $0.37 — | |
Pioneer Municipal High Income Advantage Fund MAV | $8.16 — |
-2.63
|
$195.14M — | $71.91K — | $8.1 — | $8.27 — | $195.14M — | 4.85 | $1.68 — | |
Eaton Vance Municipal Income 2028 Term Trust ETX | $17.85 — |
-0.78
|
$194.36M — | $16.33K — | $17.71 — | $17.98 — | $194.36M — | 29.26 | $0.61 — | |
Sprott Focus Trust FUND | $6.47 — |
-2.27
|
$194.22M — | $41.95K — | $6.21 — | $6.64 — | $194.22M — | 107.83 | $0.06 — | |
SDITC 1697.HK | $0.33 0.04 USD |
+8.33
|
$1.51B 193.6M USD | $21.6K 2.76K USD | $0.3099 0.04 USD | $0.33 0.04 USD | $1.51B 193.6M USD | 10.83 | $0.03 0.003 USD | |
The Mexico Fund MXF | $13.31 — |
-3.13
|
$193.29M — | $85.52K — | $13.18 — | $13.6 — | $193.29M — | 0 | -$0.48 — | |
RiverNorth/DoubleLine Strategic Opportunity Fund OPP | $8.11 — |
-1.7
|
$193.1M — | $226.9K — | $8.01 — | $8.32 — | $193.1M — | 8.27 | $0.98 — | |
Clough Global Opportunities Fund GLO | $4.47 — |
-1.54
|
$191.16M — | $410.29K — | $4.32 — | $4.5 — | $191.16M — | 3.06 | $1.46 — | |
Wells Fargo Advantage Funds - Allspring Global Dividend Opportunity Fund EOD | $4.43 — |
-2.42
|
$190.78M — | $301.81K — | $4.25 — | $4.59 — | $190.78M — | 3.07 | $1.44 — | |
VEF AB (publ) VEFAB.ST | $1.56 0.15 USD |
+2.23
|
$1.94B 189.66M USD | $736.13K 71.86K USD | $1.52 0.15 USD | $1.57 0.15 USD | $1.94B 189.66M USD | 0 | -$0.9 -0.08 USD | |
Western Asset Inflation-Linked Income Fund WIA | $8.1 — |
-0.86
|
$188.91M — | $73.16K — | $8.07 — | $8.15 — | $188.91M — | 15.00 | $0.54 — | |
BNY Mellon Municipal Bond Infrastructure Fund DMB | $10.26 — |
-2.93
|
$188.85M — | $83.4K — | $10.25 — | $10.55 — | $188.85M — | 9.77 | $1.05 — | |
BlackRock Investment Quality Municipal Trust BKN | $10.96 — |
-3.09
|
$188.58M — | $130.85K — | $10.96 — | $11.22 — | $188.58M — | 23.31 | $0.47 — | |
VNV Global AB (publ) VNV.ST | $14.63 1.43 USD |
+2.67
|
$1.92B 187.05M USD | $46.45K 4.53K USD | $14.54 1.42 USD | $15.05 1.47 USD | $1.92B 187.05M USD | 0 | -$6.52 -0.6 USD | |
Western Asset Global High Income Fund EHI | $6.16 — |
-0.81
|
$186.65M — | $123.54K — | $6.11 — | $6.3 — | $186.65M — | 6.76 | $0.91 — | |
MPC Münchmeyer Petersen Capital AG MPCK.DE | $4.78 5.23 USD |
+1.7
|
$168.49M 184.18M USD | $210 229.56 USD | $4.64 5.07 USD | $4.78 5.23 USD | $168.49M 184.18M USD | 9.75 | $0.49 0.54 USD | |
RAM Essential Services Property Fund REP.AX | $0.55 0.36 USD |
-0.9
|
$278.15M 184.09M USD | $322.07K 213.16K USD | $0.55 0.36 USD | $0.5699 0.38 USD | $278.15M 184.09M USD | 0 | -$0.03 -0.01 USD | |
Pengana International Equities Limited PIA.AX | $1.07 0.71 USD |
+0.94
|
$275.24M 182.17M USD | $148.23K 98.11K USD | $1.06 0.7 USD | $1.09 0.72 USD | $275.24M 182.17M USD | 5.35 | $0.2 0.13 USD | |
PIMCO California Municipal Income Fund II PCK | $5.64 — |
-0.7
|
$181.91M — | $125.05K — | $5.58 — | $5.69 — | $181.91M — | 0 | -$0.02 — | |
abrdn Emerging Markets ex-China Fund AEF | $4.46 — |
-3.88
|
$181.08M — | $723.48K — | $4.43 — | $4.64 — | $181.08M — | 11.43 | $0.39 — | |
Virtus Diversified Income & Convertible Fund ACV | $17.41 — |
-2.74
|
$180.61M — | $45.55K — | $17 — | $17.98 — | $180.61M — | 9.67 | $1.8 — | |
Fiducian Group Ltd FID.AX | $8.4 5.56 USD |
-2.33
|
$271.48M 179.68M USD | $26.02K 17.22K USD | $8.32 5.51 USD | $8.92 5.9 USD | $271.48M 179.68M USD | 17.50 | $0.48 0.32 USD | |
The Taiwan Fund TWN | $28.05 — |
-4.23
|
$179.35M — | $43.14K — | $26.81 — | $29.33 — | $179.35M — | 2.06 | $13.56 — | |
Dividend Growth Split Corp. DGS.TO | $5.59 4.15 USD |
-3.12
|
$241.2M 178.99M USD | $347.55K 257.91K USD | $5.21 3.87 USD | $5.68 4.21 USD | $241.2M 178.99M USD | 4.29 | $1.3 0.96 USD | |
Blackstone Senior Floating Rate 2027 Term Fund BSL | $13.75 — |
-1.65
|
$178.9M — | $89.79K — | $13.51 — | $14 — | $178.9M — | 9.61 | $1.43 — | |
Symphony International Holdings Limited SIHL.L | $0.3499 — |
-2.82
|
$177.11M — | $7K — | $0.3499 — | $0.3499 — | $177.11M — | 3.13 | $0.11 — | |
Brockhaus Technologies AG BKHT.DE | $14.9 16.29 USD |
+0.68
|
$160.93M 175.92M USD | $4.79K 5.24K USD | $14.75 16.12 USD | $15.1 16.51 USD | $160.93M 175.92M USD | 0 | -$0.78 -0.8 USD | |
Lazard Global Total Return and Income Fund LGI | $13.46 — |
-4.06
|
$175.15M — | $182.5K — | $13.35 — | $13.85 — | $175.15M — | 11.50 | $1.17 — | |
Invesco Pennsylvania Value Municipal Income Trust VPV | $9.79 — |
-4.3
|
$174.97M — | $47.33K — | $9.77 — | $10.16 — | $174.97M — | 10.41 | $0.94 — | |
Franklin Universal Trust FT | $6.96 — |
-2.79
|
$174.92M — | $104.64K — | $6.71 — | $7.04 — | $174.92M — | 5.15 | $1.35 — | |
Sprott Physical Platinum and Palladium Trust SPPP.TO | $12.78 9.48 USD |
-1.01
|
$234.14M 173.74M USD | $10.63K 7.89K USD | $12.68 9.41 USD | $12.85 9.54 USD | $234.14M 173.74M USD | 1.79 | $7.11 5.28 USD | |
Eaton Vance New York Municipal Bond Fund ENX | $9.56 — |
0
|
$171.71M — | $73.1K — | $9.47 — | $9.61 — | $171.71M — | 5.82 | $1.64 — | |
Invesco Bond Fund VBF | $15 — |
-1.7
|
$171.28M — | $83.45K — | $14.95 — | $15.29 — | $171.28M — | 9.14 | $1.64 — | |
Barings Participation Investors MPV | $16.09 — |
-1.59
|
$170.91M — | $38.69K — | $15.76 — | $16.62 — | $170.91M — | 9.93 | $1.62 — | |
Bitcoin Group SE ADE.DE | $30.3 33.12 USD |
+7.45
|
$156.33M 170.9M USD | $10.11K 11.05K USD | $29.36 32.09 USD | $30.38 33.21 USD | $156.33M 170.9M USD | 252.50 | $0.12 0.13 USD | |
Templeton Emerging Markets Fund EMF | $11.26 — |
-4.66
|
$170.85M — | $65.22K — | $11.2 — | $11.57 — | $170.85M — | 6.05 | $1.86 — | |
Aimia Inc. AIM.TO | $2.36 1.75 USD |
+2.61
|
$225.18M 167.09M USD | $73.48K 54.52K USD | $2.29 1.7 USD | $2.41 1.79 USD | $225.18M 167.09M USD | 0 | -$0.75 -0.5 USD | |
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