$2.5T
Total marketcap
$76.65B
Total volume
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Dominance

Country: United States Sector: Financial Services Industry: Asset Management Stock Market - Quotes & Prices

List of all Stocks and Equities with Prices, Market Capitalizations, PE and EPS
Name Name Price Price 24h%
7d chart
24h% & 7d
M.Cap Market Cap VOL Volume 24h low 24h high Market Cap P/E Ratio EPS
Name Name Price Price 24h%
7d chart
24h% & 7d
M.Cap Market Cap VOL Volume 24h low 24h high Market Cap P/E Ratio EPS
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SMC Entertainment  SMCE $0.0008
+15.38
$84K $5.85M $0.0005999 $0.0008 $84K 0 $0
Bridge Inv  BRDG $6.9
+2.99
$835.36M $240.72K $6.7 $6.96 $835.36M 0 -$0.46
KKR &  KKR $97.21
+2.9
$86.54B $1.04M $96.89 $99.83 $86.54B 23.78 $4.09
State Street  STT $75.78
+2.53
$22.85B $6.62M $73.23 $78.49 $22.85B 13.95 $5.43
Apollo Global Management  APO $113.22
+2.36
$62.57B $485.37K $109.29 $112.68 $62.57B 13.30 $8.28
GCM Grosvenor  GCMG $9.43
+1.51
$1.76B $101.44K $9.3 $9.49 $1.76B 22.77 $0.41
MFS Intermediate Income Trust  MIN $2.63
+1.15
$299.85M $626.1K $2.6 $2.63 $299.85M 32.87 $0.08
Movement Industries  MVNT $0.02
+0.8
$6.19M $384.07K $0.01 $0.02 $6.19M 0 $0
GAMCO Global Gold, Natural Resources & Income Trust  GGN $4.16
+0.73
$641.88M $958.22K $4.12 $4.17 $641.88M 5.94 $0.7
Western Asset Managed Municipals Fund  MMU $10.13
+0.7
$554.8M $119.42K $10.07 $10.18 $554.8M 23.02 $0.44
Putnam Master Intermediate Income Trust  PIM $3.14
+0.64
$151.78M $122.34K $3.11 $3.18 $151.78M 62.80 $0.05
Calamos Global Dynamic Income Fund  CHW $6.54
+0.54
$417.35M $696.91K $6.49 $6.55 $417.35M 13.90 $0.47
DWS Municipal Income Trust  KTF $9.37
+0.54
$367.05M $117.17K $9.35 $9.43 $367.05M 24.02 $0.39
Invesco Municipal Opportunity Trust  VMO $9.44
+0.53
$636.64M $112.64K $9.37 $9.45 $636.64M 0 -$0.01
Highland Funds I - Highland Opportunities and Income Fund  HFRO $6.69
+0.45
$456.93M $209.59K $6.5 $6.73 $456.93M 0 -$0.96
Kayne Anderson Energy Infrastructure Fund  KYN $9.6
+0.42
$1.62B $841.5K $9.57 $9.77 $1.62B 13.52 $0.71
Western Asset Inflation-Linked Opportunities & Income Fund  WIW $8.48
+0.36
$518.84M $199.57K $8.43 $8.5 $518.84M 424.00 $0.02
BNY Mellon Strategic Municipals  LEO $5.88
+0.34
$366.27M $127.01K $5.86 $5.91 $366.27M 147.00 $0.04
BlackRock MuniYield Quality Fund  MQY $12.12
+0.31
$870.62M $143.03K $12.09 $12.15 $870.62M 29.56 $0.41
Main Street Capital  MAIN $47.08
+0.3
$3.99B $139.46K $46.83 $47.81 $3.99B 8.97 $5.23
Trinity Capital  TRIN $14.07
+0.29
$671.48M $459.35K $14.41 $14.63 $671.48M 7.65 $1.89
Invesco Value Municipal Income Trust  IIM $11.52
+0.26
$542.23M $102.15K $11.5 $11.56 $542.23M 576.00 $0.02
Nuveen New York AMT-Free Quality Municipal Income Fund  NRK $10.63
+0.25
$927.31M $124.37K $10.58 $10.65 $927.31M 0 -$0.02
TCW Strategic Income Fund  TSI $4.65
+0.22
$222.2M $161.77K $4.63 $4.69 $222.2M 9.89 $0.47
Invesco Trust for Investment Grade Municipals  VGM $9.58
+0.21
$519.54M $140.51K $9.56 $9.61 $519.54M 958.00 $0.01
Neuberger Berman Municipal Fund  NBH $10.18
+0.2
$301.51M $158.19K $10.15 $10.19 $301.51M 84.83 $0.12
AllianceBernstein Holding L.P  AB $33.15
+0.18
$3.79B $292.25K $32.74 $33.52 $3.79B 14.16 $2.34
Blackstone  BX $124
+0.18
$149.63B $238.15K $122.67 $125.99 $149.63B 67.10 $1.84
Nuveen California Quality Municipal Income Fund  NAC $10.71
+0.18
$1.55B $303.65K $10.69 $10.74 $1.55B 0 -$0.23
Nuveen Municipal High Income Opportunity Fund  NMZ $10.39
+0.17
$1.15B $219.97K $10.39 $10.46 $1.15B 148.42 $0.07
Stellus Capital Inv  SCM $13.4
+0.15
$323.28M $175.33K $13.33 $13.48 $323.28M 16.75 $0.8
Eaton Vance Limited Duration Income Fund  EVV $9.45
+0.11
$1.1B $416.49K $9.39 $9.46 $1.1B 9.44 $1
Nuveen AMT-Free Quality Municipal Income Fund  NEA $10.72
+0.1
$3.21B $376.78K $10.72 $10.78 $3.21B 89.33 $0.12
Nuveen AMT-Free Municipal Credit Income Fund  NVG $11.7
+0.06
$2.5B $250.44K $11.7 $11.78 $2.5B 90.00 $0.13
Nuveen Municipal Credit Income Fund  NZF $11.81
+0.06
$2.29B $297.41K $11.81 $11.89 $2.29B 47.24 $0.25
Blackrock Municipal 2030 Target Term Trust  BTT $20.52
+0.03
$1.38B $111.17K $20.5 $20.6 $1.38B 36.00 $0.57
Nuveen Quality Municipal Income Fund  NAD $11.02
+0.02
$2.57B $325.95K $11.02 $11.11 $2.57B 58.00 $0.19
Suntex Enterprises  SNTX $0.002099
0
$414.43K $200K $0.002099 $0.002099 $414.43K 0 $0
NNRF  NNRI $0.003299
0
$1.48M $312.5K $0.003299 $0.003299 $1.48M 0 -$0.39
Oxford Square Capital  OXSQ $3.2
0
$190.95M $414.43K $3.16 $3.23 $190.95M 10.00 $0.32
MFS Special Value Trust  MFV $4.41
-0.11
$32.15M $244.92K $4.4 $4.42 $32.15M 33.92 $0.13
BlackRock Municipal Income Fund  MUI $11.65
-0.13
$838.71M $111.88K $11.64 $11.72 $838.71M 29.12 $0.4
BlackRock MuniYield Quality Fund III  MYI $11.13
-0.13
$739.78M $145.57K $11.11 $11.2 $739.78M 26.50 $0.42
Cornerstone Strategic Value Fund  CLM $7.22
-0.14
$1.77B $1.94M $7.51 $7.63 $1.77B 4.25 $1.77
BlackRock Core Bond Trust  BHK $10.45
-0.15
$564.41M $179.78K $10.45 $10.53 $564.41M 10.14 $1.03
First Trust High Income Long/Short Fund  FSD $11.56
-0.17
$384.84M $206.25K $11.53 $11.56 $384.84M 0 -$0.09
BlackRock Taxable Municipal Bond Trust  BBN $15.64
-0.17
$966.43M $154.79K $15.64 $15.78 $966.43M 0 -$0.06
Ares Capital  ARCC $20.19
-0.25
$12.31B $2.83M $20.22 $20.58 $12.31B 7.56 $2.68
Bain Capital Specialty Finance  BCSF $15.71
-0.32
$1.01B $493.21K $15.61 $15.79 $1.01B 8.22 $1.91
BlackRock Credit Allocation Income Trust  BTZ $10.23
-0.35
$954.71M $266.89K $10.2 $10.34 $954.71M 7.25 $1.41
Horizon Technology Finance  HRZN $11.21
-0.36
$374.39M $294.26K $11.18 $11.31 $374.39M 0 -$0.56
Nuveen Municipal Value Fund  NUV $8.47
-0.36
$1.76B $359.31K $8.46 $8.52 $1.76B 32.57 $0.26
BlackRock MuniHoldings California Quality Fund  MUC $10.7
-0.43
$1.01B $199.84K $10.67 $10.76 $1.01B 53.47 $0.2
Ilustrato Pictures  ILUS $0.01
-0.43
$21.35M $2.36M $0.01 $0.01 $21.35M 0 $0
Invesco Senior Income Trust  VVR $4.29
-0.46
$656.5M $990.31K $4.29 $4.32 $656.5M 10.72 $0.4
Western Asset High Income Opportunity Fund  HIO $3.8
-0.52
$361.38M $331.22K $3.78 $3.82 $361.38M 12.66 $0.3
Principal Financial  PFG $79.82
-0.54
$18.77B $955.96K $79.55 $80.85 $18.77B 31.30 $2.55
Putnam Premier Income Trust  PPT $3.45
-0.58
$332.13M $173.38K $3.45 $3.47 $332.13M 17.25 $0.2
The Bank of New York Mellon  BK $55.05
-0.58
$41.45B $4.93M $54.66 $55.98 $41.45B 14.22 $3.87
Blackstone Strategic Credit 2027 Term Fund  BGB $11.67
-0.6
$521.23M $111.31K $11.66 $11.75 $521.23M 13.41 $0.87
PGIM Global High Yield Fund  GHY $11.38
-0.61
$465.71M $125.89K $11.34 $11.47 $465.71M 13.38 $0.85
Nuveen Floating Rate Income Fund  JFR $8.64
-0.63
$1.16B $583.84K $8.63 $8.74 $1.16B 0 -$0.3
Reaves Utility Income Fund  UTG $26.08
-0.65
$2.06B $269.69K $25.99 $26.35 $2.06B 0 -$0.9
Credit Suisse Asset Management Income Fund  CIK $2.9
-0.69
$153.7M $171.5K $2.89 $2.93 $153.7M 5.79 $0.5
Brookfield Real Assets Income Fund  RA $12.46
-0.72
$690.97M $193.79K $12.46 $12.54 $690.97M 22.65 $0.55
DoubleLine Income Solutions Fund  DSL $12.18
-0.73
$1.26B $320.17K $12.17 $12.32 $1.26B 0 -$2.06
GAMCO Natural Resources, Gold & Income Trust  GNT $5.36
-0.74
$87.9M $155.16K $5.35 $5.44 $87.9M 5.64 $0.95
The Gabelli Equity Trust  GAB $5.28
-0.75
$1.59B $354.8K $5.26 $5.33 $1.59B 6.76 $0.78
BlackRock  BLK $760.82
-0.76
$113.56B $100.64K $762.06 $803 $113.56B 20.92 $36.49
Clough Global Equity Fund  GLQ $6.43
-0.77
$121.14M $102.14K $6.4 $6.45 $121.14M 0 -$0.47
PGIM High Yield Bond Fund  ISD $12.44
-0.8
$413.71M $187.79K $12.37 $12.55 $413.71M 20.39 $0.61
OFS Credit Company  OCCI $7.19
-0.83
$114.83M $153.88K $7.14 $7.44 $114.83M 0 -$0.16
Nuveen Credit Strategies Income Fund  JQC $5.47
-0.83
$741.78M $468K $5.46 $5.53 $741.78M 0 -$0.38
Nuveen Select Tax-Free Income Portfolio  NXP $13.97
-0.86
$659.51M $139K $13.94 $14.14 $659.51M 25.87 $0.54
BNY Mellon High Yield Strategies Fund  DHF $2.29
-0.87
$166.57M $222.08K $2.29 $2.32 $166.57M 7.15 $0.32
ASA Gold and Precious Metals  ASA $16.97
-0.88
$327.35M $186.61K $16.8 $17.75 $327.35M 33.93 $0.5
Gladstone Inv  GAIN $13.93
-0.89
$499.77M $112.19K $13.85 $14.14 $499.77M 6.99 $1.99
CION Inv  CION $11.02
-0.9
$593.36M $178.34K $11 $11.18 $593.36M 6.33 $1.74
Guggenheim Strategic Opportunities Fund  GOF $14.08
-0.9
$1.83B $998.53K $13.96 $14.16 $1.83B 70.40 $0.2
KKR Income Opportunities Fund  KIO $13.17
-0.9
$357.18M $145.23K $13.13 $13.32 $357.18M 0 -$0.36
Fidus Inv  FDUS $19.52
-0.91
$613.44M $159.56K $19.43 $19.76 $613.44M 6.66 $2.93
High Income Securities Fund  PCF $6.44
-0.92
$112.9M $162.2K $6.41 $6.52 $112.9M 18.94 $0.34
Eaton Vance Tax-Managed Buy-Write Opportunities Fund  ETV $12.82
-0.93
$1.5B $146.37K $12.8 $12.94 $1.5B 5.69 $2.25
PIMCO Dynamic Income Fund  PDI $19.17
-0.93
$5.47B $2.4M $19.16 $19.43 $5.47B 28.61 $0.67
Eaton Vance Risk-Managed Diversified Equity Income Fund  ETJ $8.36
-0.95
$562.64M $185.25K $8.35 $8.43 $562.64M 7.88 $1.06
Golub Capital BDC  GBDC $16.54
-0.96
$2.82B $695.49K $16.47 $16.73 $2.82B 9.08 $1.82
Virtus Stone Harbor Emerging Markets Income Fund  EDF $5.1
-0.97
$148.04M $163.56K $5.02 $5.2 $148.04M 0 -$0.36
AllianceBernstein Global High Income Fund  AWF $10.18
-0.97
$877.82M $150.73K $10.16 $10.28 $877.82M 7.89 $1.29
Oxford Lane Capital  OXLC $5.06
-0.98
$1.17B $5.58M $5.03 $5.12 $1.17B 7.66 $0.66
Clough Global Opportunities Fund  GLO $5.01
-0.99
$214.76M $152.6K $5 $5.06 $214.76M 0 -$0.36
Eagle Point Credit Company  ECC $10
-0.99
$853.02M $667.59K $9.99 $10.11 $853.02M 5.74 $1.74
BlackRock Energy and Resources Trust  BGR $13.31
-1
$365.56M $137.59K $13.27 $13.63 $365.56M 19.28 $0.69
DNP Select Income Fund  DNP $8.86
-1.01
$3.22B $412K $8.84 $8.99 $3.22B 0 -$0.47
First Trust MLP and Energy Income Fund  FEI $9.55
-1.04
$431.94M $157.93K $9.54 $9.71 $431.94M 16.46 $0.58
PIMCO Corporate & Income Strategy Fund  PCN $13.37
-1.04
$727.41M $267.76K $13.34 $13.53 $727.41M 15.02 $0.89
Nuveen Preferred & Income Opportunities Fund  JPC $6.91
-1.04
$2.21B $582.97K $6.91 $6.99 $2.21B 0 -$0.51
Abrdn Income Credit Strategies Fund  ACP $6.62
-1.05
$344.97M $404.28K $6.62 $6.71 $344.97M 6.36 $1.04
BrightSphere Inv  BSIG $22.35
-1.06
$853.94M $205.57K $22.31 $22.59 $853.94M 14.41 $1.55
Morgan Stanley Emerging Markets Domestic Debt Fund  EDD $4.55
-1.09
$296.93M $254.32K $4.52 $4.6 $296.93M 13.00 $0.35
abrdn Global Premier Properties Fund  AWP $3.63
-1.09
$310.03M $235.6K $3.6 $3.7 $310.03M 0 -$0.18
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