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Result Page 2 for 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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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
Franklin Limited Duration Income Trust  FTF $6.18
-1.12
$249.71M $135.96K $6.18 $6.26 $249.71M 7.44 $0.83
Flaherty & Crumrine Preferred Securities Income Fund  FFC $14.11
-1.12
$679.79M $129.41K $14.11 $14.25 $679.79M 0 -$1.81
Janus Henderson  JHG $31.73
-1.12
$5.12B $675.95K $31.43 $32.12 $5.12B 13.38 $2.37
Abrdn Asia-Pacific Income Fund  FAX $2.63
-1.13
$651.44M $934.62K $2.62 $2.65 $651.44M 8.48 $0.31
PennantPark Floating Rate Capital  PFLT $11.16
-1.13
$687.77M $430.69K $11.13 $11.31 $687.77M 9.37 $1.19
3i Group plc  TGOPY $17.54
-1.18
$34.15B $229.44K $17.49 $17.87 $34.15B 5.98 $2.93
Sixth Street Specialty Lending  TSLX $20.75
-1.19
$1.92B $236.73K $20.71 $21.07 $1.92B 7.95 $2.61
RiverNorth Opportunities Fund  RIV $11.67
-1.19
$250.36M $130.55K $11.6 $11.8 $250.36M 0 -$0.18
Cohen & Steers Infrastructure Fund  UTF $22.22
-1.2
$2.14B $135.44K $22.19 $22.6 $2.14B 58.47 $0.38
Neuberger Berman Real Estate Securities Income Fund  NRO $3.18
-1.21
$150.91M $163.84K $3.18 $3.24 $150.91M 0 -$0.87
Wells Fargo Advantage Funds - Allspring Income Opportunities Fund  EAD $6.38
-1.24
$378.77M $197.39K $6.37 $6.47 $378.77M 23.62 $0.27
BlackRock Enhanced International Dividend Trust  BGY $5.2
-1.26
$521.41M $329.25K $5.19 $5.25 $521.41M 6.19 $0.84
John Hancock Preferred Income Fund III  HPS $14.91
-1.26
$476.27M $121.63K $14.91 $15.1 $476.27M 186.37 $0.08
New Mountain Finance  NMFC $12.43
-1.27
$1.32B $264.02K $12.4 $12.65 $1.32B 10.02 $1.24
Artisan Partners Asset Management  APAM $43.5
-1.27
$3B $348.75K $43.09 $44.03 $3B 13.63 $3.19
First Trust Intermediate Duration Preferred & Income Fund  FPF $17
-1.28
$1.03B $140.31K $16.96 $17.25 $1.03B 0 -$2.69
Northern Trust  NTRS $83.83
-1.3
$17.1B $1.11M $83.55 $85.32 $17.1B 16.50 $5.08
Carlyle Secured Lending  CGBD $16.29
-1.33
$827.45M $203.89K $16.25 $16.64 $827.45M 9.93 $1.64
Eaton Vance Tax-Managed Diversified Equity Income Fund  ETY $13.21
-1.34
$2.08B $165.38K $13.1 $13.37 $2.08B 10.40 $1.27
Voya Global Equity Dividend and Premium Opportunity Fund  IGD $5.04
-1.37
$400.25M $134.61K $5.03 $5.14 $400.25M 18.00 $0.28
AllianceBernstein Holding L.P  AB $32.7
-1.39
$3.79B $75.45K $32.74 $33.52 $3.79B 14.16 $2.34
Adams Diversified Equity Fund  ADX $19.07
-1.4
$2.37B $118.82K $19.01 $19.24 $2.37B 4.17 $4.57
TriplePoint Venture Growth BDC  TPVG $9.1
-1.41
$342.34M $431.05K $8.97 $9.21 $342.34M 0 -$1.12
BlackRock Floating Rate Income Strategies Fund  FRA $12.9
-1.42
$454.5M $187.75K $12.74 $13.14 $454.5M 7.28 $1.77
PennantPark Inv  PNNT $6.81
-1.45
$444.18M $504.47K $6.78 $6.95 $444.18M 9.20 $0.74
Nuveen S&P 500 Buy-Write Income Fund  BXMX $12.81
-1.46
$1.33B $157.52K $12.79 $12.97 $1.33B 5.54 $2.31
Abrdn Total Dynamic Dividend Fund  AOD $7.96
-1.49
$839.23M $391.74K $7.94 $8.05 $839.23M 12.63 $0.63
The India Fund  IFN $19.4
-1.52
$602.49M $666.51K $19.36 $19.62 $602.49M 6.00 $3.23
John Hancock Preferred Income Fund  HPI $16.09
-1.53
$421.64M $30.31K $15.7 $16 $421.64M 528.66 $0.03
P10  PX $7.69
-1.54
$891.09M $460.77K $7.68 $8.11 $891.09M 0 -$0.06
Virtus Dividend, Interest & Premium Strategy Fund  NFJ $12.04
-1.55
$1.14B $205.89K $12.03 $12.24 $1.14B 11.92 $1.01
CBRE Global Real Estate Income Fund  IGR $4.96
-1.59
$694.25M $944.94K $4.93 $5.03 $694.25M 5.90 $0.84
Western Asset High Income Fund II  HIX $4.33
-1.59
$292.39M $531.85K $4.31 $4.42 $292.39M 39.36 $0.11
John Hancock Premium Dividend Fund  PDT $11.05
-1.6
$543.5M $127.21K $11.03 $11.25 $543.5M 0 -$0.91
Duff & Phelps Utility and Infrastructure Fund  DPG $8.95
-1.65
$341.73M $116.04K $8.95 $9.16 $341.73M 0 -$0.69
BlackRock TCP Capital  TCPC $10.09
-1.66
$863.61M $268.61K $10.06 $10.3 $863.61M 15.05 $0.67
SLR Inv  SLRC $14.83
-1.66
$809.04M $227.2K $14.76 $15.11 $809.04M 10.59 $1.4
PIMCO Corporate & Income Opportunity Fund  PTY $13.97
-1.69
$2.14B $736.75K $13.96 $14.22 $2.14B 9.70 $1.44
Gladstone Capital  GLAD $20.31
-1.69
$441.83M $125.28K $20.25 $20.89 $441.83M 7.05 $2.88
Blackrock Resources & Commodities Strategy Trust  BCX $9.18
-1.69
$774.46M $369.2K $9.14 $9.4 $774.46M 7.28 $1.26
Virtus Convertible & Income Fund II  NCZ $2.81
-1.75
$213.89M $254.58K $2.8 $2.87 $213.89M 28.09 $0.1
BlackRock Floating Rate Income Trust  BGT $12.82
-1.76
$286.09M $134.32K $12.82 $13.08 $286.09M 7.32 $1.75
BlackRock Corporate High Yield Fund  HYT $9.47
-1.78
$1.35B $467.29K $9.47 $9.64 $1.35B 6.71 $1.41
Abrdn Healthcare Investors  HQH $15.95
-1.79
$788.6M $150.71K $15.92 $16.24 $788.6M 14.63 $1.09
Royce Value Trust  RVT $14.28
-1.79
$1.62B $201.77K $14.27 $14.49 $1.62B 4.84 $2.95
Advent Convertible and Income Fund  AVK $11.62
-1.8
$401.98M $159.09K $11.58 $11.89 $401.98M 0 -$0.19
Cohen & Steers Quality Income Realty Fund  RQI $11.24
-1.83
$1.51B $423.61K $11.23 $11.38 $1.51B 6.42 $1.75
Patria Investments  PAX $13.88
-1.84
$2.08B $246.38K $13.88 $14.17 $2.08B 17.35 $0.8
Templeton Emerging Markets Income Fund  TEI $5.27
-1.86
$248.89M $163.43K $5.27 $5.37 $248.89M 7.02 $0.75
The Gabelli Dividend & Income Trust  GDV $21.96
-1.88
$1.98B $129.35K $21.94 $22.29 $1.98B 7.54 $2.91
PIMCO Income Strategy Fund II  PFN $7.14
-1.92
$605.34M $339.21K $7.12 $7.28 $605.34M 8.50 $0.84
BlackRock Debt Strategies Fund  DSU $10.55
-1.96
$491.74M $199.41K $10.55 $10.77 $491.74M 7.03 $1.5
Abrdn Emerging Markets Equity Income Fund  AEF $4.97
-1.97
$251.98M $119.92K $4.95 $5.01 $251.98M 8.71 $0.57
SEI Investments Company  SEIC $67.48
-1.98
$8.86B $378.57K $67.23 $68.65 $8.86B 19.50 $3.46
Liberty All-Star Equity Fund  USA $6.93
-1.98
$1.92B $890.9K $6.9 $7.05 $1.92B 4.74 $1.46
Ares Management  ARES $131.35
-2.03
$40.92B $976.91K $131.32 $133.87 $40.92B 54.27 $2.42
Liberty All-Star Growth Fund  ASG $5.31
-2.03
$314.45M $164.05K $5.28 $5.39 $314.45M 5.58 $0.95
Calamos Convertible and High Income Fund  CHY $11.1
-2.03
$847.81M $142.05K $11.1 $11.31 $847.81M 0 -$0.12
AssetMark Financial  AMK $36.12
-2.03
$2.69B $219.73K $35.77 $37.03 $2.69B 21.89 $1.65
Western Asset Emerging Markets Debt Fund  EMD $9.12
-2.04
$533.01M $344.74K $9.08 $9.32 $533.01M 7.53 $1.21
BlackRock Innovation and Growth Term Trust  BIGZ $7.44
-2.05
$1.67B $447.73K $7.43 $7.62 $1.67B 0 -$0.4
PIMCO High Income Fund  PHK $4.76
-2.06
$726.79M $524.82K $4.76 $4.85 $726.79M 8.35 $0.57
Neuberger Berman Energy Infrastructure and Income Fund  NML $7.19
-2.06
$407.38M $594.27K $7.15 $7.41 $407.38M 0 -$0.79
Abrdn Healthcare Opportunities Fund  THQ $18.89
-2.07
$781.22M $197.54K $18.82 $19.24 $781.22M 0 -$1.48
Ameriprise Financial  AMP $413.7
-2.08
$41.45B $630.55K $412.54 $421.52 $41.45B 17.44 $23.71
Eaton Vance Tax-Managed Global Buy-Write Opportunities Fund  ETW $7.96
-2.09
$872.4M $430.37K $7.94 $8.09 $872.4M 5.81 $1.37
T. Rowe Price  TROW $115.19
-2.15
$25.76B $1.39M $114.54 $117.56 $25.76B 14.84 $7.76
Calamos Strategic Total Return Fund  CSQ $15.83
-2.16
$2.54B $166.06K $15.8 $16.11 $2.54B 14.79 $1.07
Eaton Vance Tax-Advantaged Global Dividend Income Fund  ETG $17.58
-2.22
$1.34B $129.18K $17.54 $17.89 $1.34B 8.83 $1.99
BlackRock Enhanced Equity Dividend Trust  BDJ $7.88
-2.28
$1.47B $705.46K $7.87 $8.06 $1.47B 9.72 $0.81
Federated Hermes  FHI $35.73
-2.3
$3.01B $725.41K $35.69 $36.87 $3.01B 10.50 $3.4
Royce Micro-Cap Trust  RMT $8.91
-2.3
$442.99M $105.39K $8.89 $9.1 $442.99M 5.97 $1.49
Eaton Vance Tax-Managed Global Diversified Equity Income Fund  EXG $7.97
-2.33
$2.44B $460.86K $7.96 $8.12 $2.44B 17.32 $0.46
Apollo Global Management, Inc.  APO-PA $62.07
-2.35
$0 $219.63K $62.01 $63.19 $0 0 $0
Invesco  IVZ $15.34
-2.36
$6.9B $3.48M $15.26 $15.76 $6.9B 0 -$0.73
Eaton Vance Tax-Advantaged Dividend Income Fund  EVT $22.84
-2.39
$1.7B $136.39K $22.8 $23.35 $1.7B 0 -$0.45
Affiliated Managers  AMG $162.17
-2.41
$5.32B $331.17K $161.2 $165.87 $5.32B 9.30 $17.42
BlackRock Science and Technology Term Trust  BSTZ $18.27
-2.43
$1.39B $446.93K $18.26 $18.61 $1.39B 25.73 $0.71
Virtus Convertible & Income Fund  NCV $3.12
-2.5
$281.97M $424.28K $3.12 $3.22 $281.97M 34.66 $0.09
BlackRock Enhanced Global Dividend Trust  BOE $9.9
-2.53
$609.11M $236.14K $9.9 $10.13 $609.11M 6.18 $1.6
StepStone  STEP $36.06
-2.54
$4.13B $291.63K $35.65 $37.31 $4.13B 40.06 $0.9
Wells Fargo Advantage Funds - Allspring Global Dividend Opportunity Fund  EOD $4.54
-2.58
$196.11M $111.27K $4.54 $4.63 $196.11M 0 -$0.06
Calamos Dynamic Convertible and Income Fund  CCD $21.32
-2.6
$568.06M $117.78K $21.26 $21.75 $568.06M 0 -$2.43
Abrdn World Healthcare Fund  THW $12.19
-2.64
$464.6M $123.79K $12.18 $12.5 $464.6M 0 -$3.54
Credit Suisse High Yield Bond Fund  DHY $2
-2.91
$207.03M $550.6K $2 $2.07 $207.03M 9.09 $0.22
The Carlyle  CG $45.79
-3.05
$16.53B $2.86M $45.57 $47.33 $16.53B 0 -$1.68
Hamilton Lane Incorporated  HLNE $110.53
-3.23
$6.18B $157.61K $109.92 $113.98 $6.18B 34.00 $3.25
TPG  TPG $43.31
-3.24
$15.79B $571.74K $43.17 $44.79 $15.79B 0 -$0.04
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