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السيطرة

صفحة النتائج 20 للبلد: الولايات المتحدة منصة التبادل: NYSE سوق الأسهم - العروض والأسعار

قائمة بجميع الأوراق المالية والأسهم مع الأسعار، والقيم السوقية، ونسبة السعر إلى الربح، والأرباح للسهم الواحد
الولايات المتحدة (3203)
جميع الصناعات
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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Valens Semiconductor  VLN $2.58
-0.77
$272.76M $33.41K $2.56 $2.61 $272.76M 0 -$0.35
Franklin Covey  FC $20.97
+0.91
$272.35M $27.42K $20.7 $21.05 $272.35M 15.76 $1.33
Luxfer  LXFR $10.12
+1
$271.98M $34.19K $10.03 $10.19 $271.98M 14.88 $0.68
Civeo  CVEO $20.07
-0.35
$271.94M $5.57K $20.01 $20.65 $271.94M 0 -$1.19
BlackRock Municipal Income Quality Trust  BYM $10.45
-0.57
$270.69M $21.53K $10.44 $10.55 $270.69M 55.00 $0.19
Nouveau Monde Graphite  NMG $1.68
-2.9
$268.5M $32.24K $1.64 $1.7 $268.5M 0 -$0.51
Rivernorth Managed Duration Municipal Income Fund  RMM $13.54
-0.29
$267.27M $16.36K $13.54 $13.6 $267.27M 17.13 $0.79
3D Systems  DDD $1.96
+0.91
$265.33M $1.39M $1.93 $2.02 $265.33M 0 -$1.94
Park Aerospace  PKE $13.29
-0.19
$264.71M $7.65K $13.21 $13.34 $264.71M 36.90 $0.36
Putnam Managed Municipal Income Trust  PMM $5.91
-1.33
$263.97M $28.42K $5.91 $5.95 $263.97M 4.07 $1.45
Hamilton Beach Brands Holding Company  HBB $19.35
+0.21
$263.37M $22.48K $19.28 $20.14 $263.37M 8.79 $2.2
BlackSky Technology  BKSY $8.39
-0.94
$263.07M $576.79K $8.25 $8.69 $263.07M 0 -$2.67
Western Asset High Yield Defined Opportunity Fund  HYI $11.57
+0.09
$262.22M $16.02K $11.55 $11.66 $262.22M 8.96 $1.29
NACCO Industries  NC $35
-1.82
$261.81M $2.09K $35 $35.2 $261.81M 7.64 $4.58
PIMCO Strategic Income Fund  RCS $5.6
<0.01
$260.16M $68.4K $5.58 $5.64 $260.16M 8.61 $0.65
Tredegar  TG $7.45
+0.2
$259.42M $11.3K $7.4 $7.59 $259.42M 248.16 $0.03
Eaton Vance National Municipal Opportunities Trust  EOT $16.59
+1.41
$259.22M $71.04K $16.35 $16.74 $259.22M 6.30 $2.63
Allspring Multi-Sector Income Fund  ERC $9.2
+0.43
$258.08M $18.41K $9.17 $9.2 $258.08M 6.76 $1.36
LMP Capital and Income Fund  SCD $15.12
-0.69
$256.95M $15.6K $15.01 $15.25 $256.95M 2.96 $5.1
Quad/Graphics  QUAD $5.13
-1.35
$256.86M $45.51K $5.12 $5.21 $256.86M 0 -$1.07
MFS Charter Income Trust  MCR $6.15
0
$256.69M $13.2K $6.11 $6.15 $256.69M 8.54 $0.72
Caledonia Mining  CMCL $13
-0.46
$256.21M $50.62K $13 $13.49 $256.21M 14.28 $0.91
First Trust Senior Floating Rate Income Fund II  FCT $9.85
+0.31
$255.94M $12.51K $9.84 $9.89 $255.94M 10.70 $0.92
Alpine Income Property Trust  PINE $15.43
-0.32
$254.77M $22.2K $15.29 $15.63 $254.77M 192.87 $0.08
Morgan Stanley India Investment Fund  IIF $26.01
+0.97
$254.16M $19.47K $25.76 $26.15 $254.16M 4.10 $6.34
Ashford Hospitality Trust, Inc.  AHT-PD $17.21
-2.93
$254.13M $809 $17.21 $17.57 $254.13M 0 -$8.49
Gold Royalty  GROY $1.46
-0.68
$253.97M $467.61K $1.43 $1.48 $253.97M 0 -$0.02
Mayville Engineering Company  MEC $12.41
-0.8
$253.41M $12.1K $12.4 $12.59 $253.41M 10.00 $1.24
TriplePoint Venture Growth BDC  TPVG $6.31
+1.57
$253.18M $116.22K $6.21 $6.34 $253.18M 7.69 $0.82
Templeton Emerging Markets Income Fund  TEI $5.36
-0.37
$253.14M $40.77K $5.34 $5.43 $253.14M 16.75 $0.32
Franklin Limited Duration Income Trust  FTF $6.27
-0.08
$253.14M $24.08K $6.25 $6.28 $253.14M 12.52 $0.5
Japan Smaller Capitalization Fund  JOF $8.85
+0.8
$252.9M $42.09K $8.79 $8.9 $252.9M 6.65 $1.33
Cooper-Standard  CPS $14.39
+1.48
$252.52M $60.69K $14.03 $14.73 $252.52M 0 -$4.48
Idaho Strategic Resources  IDR $17.23
+2.23
$252.28M $112.54K $17.05 $17.69 $252.28M 25.70 $0.67
MFS Multimarket Income Trust  MMT $4.55
-0.22
$251.61M $17.3K $4.54 $4.57 $251.61M 5.68 $0.8
EMX Royalty  EMX $2.26
+1.12
$251.34M $98.95K $2.24 $2.27 $251.34M 0 -$0.03
Holley  HLLY $2.11
+1.69
$250.21M $103.63K $2.05 $2.11 $250.21M 0 -$0.2
RiverNorth Opportunities Fund  RIV $11.57
+1
$248.43M $32.25K $11.45 $11.58 $248.43M 5.72 $2.02
Colombier  CLBR $11.67
+1.48
$247.99M $498.74K $11.5 $11.75 $247.99M 43.22 $0.27
BlackRock Income Trust  BKT $11.64
-0.02
$247.96M $7.22K $11.64 $11.64 $247.96M 83.12 $0.14
abrdn Global Dynamic Dividend  AGD $9.91
+0.7
$246.39M $32.68K $9.85 $9.91 $246.39M 4.54 $2.18
Nuveen AMT-Free Municipal Value Fund  NUW $13.63
-0.58
$244.68M $15.8K $13.62 $13.72 $244.68M 8.96 $1.52
RE/MAX  RMAX $7.57
+1.47
$243.47M $17.05K $7.42 $7.62 $243.47M 20.45 $0.37
Natural Gas Services  NGS $19.29
-1.2
$241.19M $21.95K $19.29 $20.06 $241.19M 14.07 $1.37
J.Jill  JILL $15.36
-0.84
$239.29M $11.73K $15.36 $15.75 $239.29M 5.88 $2.61
BlackRock New York Municipal Income Trust  BNY $9.84
-0.04
$237.71M $17.86K $9.78 $9.88 $237.71M 0 $0
MBIA  MBI $4.71
-1.05
$237.25M $19.71K $4.65 $4.79 $237.25M 0 -$9.31
Orion  ORN $6.1
-2.01
$236.7M $13.79K $6.1 $6.24 $236.7M 0 -$0.05
Templeton Dragon Fund  TDF $9.28
-0.02
$235.22M $18.88K $9.24 $9.31 $235.22M 8.67 $1.07
Nuveen Core Equity Alpha Fund  JCE $13.88
-0.86
$234.49M $19.03K $13.88 $14.1 $234.49M 4.03 $3.44
Kingsway Financial Services  KFS $8.33
+0.54
$233.95M $1.88K $8.23 $8.33 $233.95M 0 -$0.34
Cohen & Steers Select Preferred and Income Fund  PSF $19.36
+0.21
$232.87M $4.04K $19.35 $19.37 $232.87M 7.19 $2.69
OneConnect Financial Technology  OCFT $5.97
-1.85
$232.74M $1.96K $5.95 $6.08 $232.74M 0 -$2.51
TCW Strategic Income Fund  TSI $4.86
0
$232.24M $1.08K $4.86 $4.86 $232.24M 13.13 $0.37
Neuberger Berman High Yield Strategies Fund  NHS $7.55
+0.6
$229.26M $61.01K $7.51 $7.58 $229.26M 5.23 $1.44
New Found Gold  NFGC $1.14
+1.79
$228.69M $706.17K $1.11 $1.2 $228.69M 0 -$0.19
Methode Electronics  MEI $6.4
0
$228.42M $126.65K $6.33 $6.5 $228.42M 0 -$2.59
The Mexico Fund  MXF $15.76
+0.26
$228.26M $16.16K $15.72 $15.85 $228.26M 0 -$0.48
PIMCO Municipal Income Fund III  PMX $6.82
-0.29
$228.03M $57.05K $6.8 $6.84 $228.03M 0 -$0.09
Belpointe PREP, LLC  OZ $62
+0.58
$227.48M $1.17K $62 $62.05 $227.48M 0 -$6.56
Protalix BioTherapeutics  PLX $2.81
-1.4
$226.2M $378.29K $2.79 $2.92 $226.2M 70.25 $0.04
Oil States  OIS $3.63
-1.6
$225.17M $198.14K $3.63 $3.76 $225.17M 0 -$0.18
Nuveen Real Estate Income Fund  JRS $7.76
+0.17
$224.3M $26.59K $7.74 $7.82 $224.3M 8.82 $0.88
Western Copper and Gold  WRN $1.12
0
$224M $65.31K $1.1 $1.12 $224M 0 -$0.03
CS Disco  LAW $3.69
0
$222.81M $8.12K $3.69 $3.76 $222.81M 0 -$0.93
Pioneer High Income Fund  PHT $7.54
-0.26
$221.24M $25.5K $7.54 $7.6 $221.24M 5.16 $1.46
Eaton Vance California Municipal Bond Fund  EVM $8.89
+0.06
$221.19M $11.01K $8.86 $8.9 $221.19M 6.68 $1.33
KNOT Offshore Partners LP  KNOP $6.4
-1.14
$221.19M $26.41K $6.37 $6.54 $221.19M 30.47 $0.21
Virtus Convertible & Income Fund II  NCZ $11.61
+0.39
$220.83M $10.53K $11.59 $11.74 $220.83M 1.05 $11.04
Citizens  CIA $4.42
+3.03
$220.59M $36.07K $4.34 $4.53 $220.59M 15.24 $0.29
Angel Oak Mortgage REIT  AOMR $9.31
+9.79
$219.82M $91.78K $8.67 $9.34 $219.82M 7.95 $1.17
Morgan Stanley China A Share Fund  CAF $12.76
-0.08
$219.34M $10.98K $12.57 $12.82 $219.34M 11.49 $1.11
Genesco  GCO $19.79
-1.44
$218.45M $92.23K $19.59 $20.54 $218.45M 0 -$1.8
GreenTree Hospitality  GHG $2.15
+1.68
$217.81M $4.74K $2.11 $2.15 $217.81M 7.94 $0.27
Flotek Industries  FTK $6.96
-0.43
$216.5M $10.15K $6.93 $7.18 $216.5M 20.47 $0.34
Finance of America Companies  FOA $19.65
-0.03
$216.11M $11.93K $19.2 $19.65 $216.11M 14.44 $1.36
Wells Fargo Advantage Funds - Allspring Global Dividend Opportunity Fund  EOD $5
+0.4
$215.33M $24.95K $4.98 $5 $215.33M 3.47 $1.44
BlackRock MuniYield Quality Fund II  MQT $9.65
+0.05
$213.68M $6.11K $9.65 $9.71 $213.68M 64.29 $0.15
Ellington Credit Company  EARN $5.69
+1.16
$213.52M $235.48K $5.62 $5.72 $213.52M 20.30 $0.28
Evans Bancorp  EVBN $38.35
-0.9
$213.51M $7.65K $38.29 $38.92 $213.51M 17.75 $2.16
EVI Industries  EVI $16.67
-3.08
$212.64M $4.97K $16.67 $17.29 $212.64M 34.02 $0.49
Ares Commercial Real Estate  ACRE $3.87
+1.08
$212.38M $139.55K $3.85 $3.95 $212.38M 0 -$0.64
MFS Municipal Income Trust  MFM $5.11
-0.78
$210.47M $24.89K $5.11 $5.15 $210.47M 4.48 $1.14
The Arena  AREN $4.43
-9.18
$210.46M $131.56K $4.02 $4.76 $210.46M 0 -$0.22
BlackRock MuniVest Fund II  MVT $10.08
-0.3
$210.28M $63.28K $10.07 $10.21 $210.28M 43.82 $0.23
Clough Global Opportunities Fund  GLO $4.91
+0.6
$209.96M $27.84K $4.87 $4.94 $209.96M 3.36 $1.46
BlackRock MuniHoldings Quality Fund II  MUE $9.57
-0.93
$209.76M $36.15K $9.54 $9.67 $209.76M 35.44 $0.27
abrdn Emerging Markets ex-China Fund  AEF $5.15
+0.4
$209.13M $41.86K $5.13 $5.17 $209.13M 13.20 $0.39
PIMCO Municipal Income Fund  PMF $7.96
+0.19
$209.07M $59.53K $7.93 $7.98 $209.07M 0 -$0.14
BARK, Inc.  BARK $1.18
-1.67
$208.12M $287.12K $1.17 $1.21 $208.12M 0 -$0.18
Virtus Diversified Income & Convertible Fund  ACV $19.99
+0.1
$207.38M $7.56K $19.97 $20.1 $207.38M 4.32 $4.62
Credit Suisse High Yield Bond Fund  DHY $2
-0.49
$207.18M $426.41K $2 $2.02 $207.18M 5.40 $0.37
The Taiwan Fund  TWN $32.13
+2.3
$206.78M $6.42K $31.63 $32.5 $206.78M 2.36 $13.56
New Pacific Metals  NEWP $1.2
-2.88
$206.71M $51.76K $1.2 $1.23 $206.71M 0 -$0.03
Pioneer Municipal High Income Fund  MHI $9.01
-0.11
$205.17M $13.02K $9.01 $9.06 $205.17M 4.35 $2.07
City Office REIT  CIO $5.04
0
$203.41M $13.14K $5 $5.05 $203.41M 0 -$0.63
Nuveen Virginia Quality Municipal Income Fund  NPV $11.14
+0.4
$203.33M $15.52K $11.08 $11.16 $203.33M 10.81 $1.03
American Realty Investors  ARL $11.9
+1.2
$202.18M $4.14K $11.85 $12.29 $202.18M 0 -$0.91
Eventbrite  EB $2.11
+0.24
$200.15M $129.78K $2.08 $2.15 $200.15M 0 -$0.17
ON24  ONTF $4.71
+0.43
$199.35M $5.11K $4.69 $4.73 $199.35M 0 -$1.01
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