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
United States (702)
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- United States (702)
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Financial Services (702)
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Asset Management (702)
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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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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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{{ 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 }} | |
Cornerstone Total Return Fund CRF | $7.6 — |
+0.41
|
$836.52M — | $877.46K — | $7.53 — | $7.69 — | $836.52M — | 4.53 | $1.67 — | |
Bridge Inv BRDG | $6.9 — |
+2.99
|
$835.36M — | $240.72K — | $6.7 — | $6.96 — | $835.36M — | 0 | -$0.46 — | |
Carlyle Secured Lending CGBD | $16.29 — |
-1.33
|
$827.45M — | $203.89K — | $16.25 — | $16.64 — | $827.45M — | 9.93 | $1.64 — | |
SLR Inv SLRC | $14.83 — |
-1.66
|
$809.04M — | $227.2K — | $14.76 — | $15.11 — | $809.04M — | 10.59 | $1.4 — | |
Abrdn Healthcare Investors HQH | $15.95 — |
-1.79
|
$788.6M — | $150.71K — | $15.92 — | $16.24 — | $788.6M — | 14.63 | $1.09 — | |
Abrdn Healthcare Opportunities Fund THQ | $18.89 — |
-2.07
|
$781.22M — | $197.54K — | $18.82 — | $19.24 — | $781.22M — | 0 | -$1.48 — | |
Blackrock Resources & Commodities Strategy Trust BCX | $9.18 — |
-1.69
|
$774.46M — | $369.2K — | $9.14 — | $9.4 — | $774.46M — | 7.28 | $1.26 — | |
Nuveen Credit Strategies Income Fund JQC | $5.64 — |
+0.36
|
$741.78M — | $468K — | $5.46 — | $5.53 — | $741.78M — | 0 | -$0.38 — | |
BlackRock MuniYield Quality Fund III MYI | $11.13 — |
-0.13
|
$739.78M — | $145.57K — | $11.11 — | $11.2 — | $739.78M — | 26.50 | $0.42 — | |
PIMCO Corporate & Income Strategy Fund PCN | $13.37 — |
-1.04
|
$727.41M — | $267.76K — | $13.34 — | $13.53 — | $727.41M — | 15.02 | $0.89 — | |
PIMCO High Income Fund PHK | $4.76 — |
-2.06
|
$726.79M — | $524.82K — | $4.76 — | $4.85 — | $726.79M — | 8.35 | $0.57 — | |
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 — | |
Brookfield Real Assets Income Fund RA | $12.46 — |
-0.72
|
$690.97M — | $193.79K — | $12.46 — | $12.54 — | $690.97M — | 22.65 | $0.55 — | |
PennantPark Floating Rate Capital PFLT | $11.16 — |
-1.13
|
$687.77M — | $430.69K — | $11.13 — | $11.31 — | $687.77M — | 9.37 | $1.19 — | |
Flaherty & Crumrine Preferred Securities Income Fund FFC | $14.11 — |
-1.12
|
$679.79M — | $129.41K — | $14.11 — | $14.25 — | $679.79M — | 0 | -$1.81 — | |
Trinity Capital TRIN | $14.07 — |
+0.29
|
$671.48M — | $459.35K — | $14.41 — | $14.63 — | $671.48M — | 7.65 | $1.89 — | |
Nuveen Select Tax-Free Income Portfolio NXP | $13.97 — |
-0.86
|
$659.51M — | $139K — | $13.94 — | $14.14 — | $659.51M — | 25.87 | $0.54 — | |
Invesco Senior Income Trust VVR | $4.29 — |
-0.46
|
$656.5M — | $990.31K — | $4.29 — | $4.32 — | $656.5M — | 10.72 | $0.4 — | |
Abrdn Asia-Pacific Income Fund FAX | $2.63 — |
-1.13
|
$651.44M — | $934.62K — | $2.62 — | $2.65 — | $651.44M — | 8.48 | $0.31 — | |
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 — | |
Invesco Municipal Opportunity Trust VMO | $9.44 — |
+0.53
|
$636.64M — | $112.64K — | $9.37 — | $9.45 — | $636.64M — | 0 | -$0.01 — | |
Fidus Inv FDUS | $19.52 — |
-0.91
|
$613.44M — | $159.56K — | $19.43 — | $19.76 — | $613.44M — | 6.66 | $2.93 — | |
BlackRock Enhanced Global Dividend Trust BOE | $9.9 — |
-2.53
|
$609.11M — | $236.14K — | $9.9 — | $10.13 — | $609.11M — | 6.18 | $1.6 — | |
PIMCO Income Strategy Fund II PFN | $7.14 — |
-1.92
|
$605.34M — | $339.21K — | $7.12 — | $7.28 — | $605.34M — | 8.50 | $0.84 — | |
The India Fund IFN | $19.4 — |
-1.52
|
$602.49M — | $666.51K — | $19.36 — | $19.62 — | $602.49M — | 6.00 | $3.23 — | |
CION Inv CION | $11.02 — |
-0.9
|
$593.36M — | $178.34K — | $11 — | $11.18 — | $593.36M — | 6.33 | $1.74 — | |
Calamos Dynamic Convertible and Income Fund CCD | $21.32 — |
-2.6
|
$568.06M — | $117.78K — | $21.26 — | $21.75 — | $568.06M — | 0 | -$2.43 — | |
BlackRock Core Bond Trust BHK | $10.45 — |
-0.15
|
$564.41M — | $179.78K — | $10.45 — | $10.53 — | $564.41M — | 10.14 | $1.03 — | |
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 — | |
Western Asset Managed Municipals Fund MMU | $10.13 — |
+0.7
|
$554.8M — | $119.42K — | $10.07 — | $10.18 — | $554.8M — | 23.02 | $0.44 — | |
John Hancock Premium Dividend Fund PDT | $11.05 — |
-1.6
|
$543.5M — | $127.21K — | $11.03 — | $11.25 — | $543.5M — | 0 | -$0.91 — | |
Invesco Value Municipal Income Trust IIM | $11.52 — |
+0.26
|
$542.23M — | $102.15K — | $11.5 — | $11.56 — | $542.23M — | 576.00 | $0.02 — | |
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 Enhanced International Dividend Trust BGY | $5.2 — |
-1.26
|
$521.41M — | $329.25K — | $5.19 — | $5.25 — | $521.41M — | 6.19 | $0.84 — | |
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 — | |
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 — | |
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 — | |
Gladstone Inv GAIN | $13.93 — |
-0.89
|
$499.77M — | $112.19K — | $13.85 — | $14.14 — | $499.77M — | 6.99 | $1.99 — | |
BlackRock Debt Strategies Fund DSU | $10.55 — |
-1.96
|
$491.74M — | $199.41K — | $10.55 — | $10.77 — | $491.74M — | 7.03 | $1.5 — | |
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 — | |
PGIM Global High Yield Fund GHY | $11.38 — |
-0.61
|
$465.71M — | $125.89K — | $11.34 — | $11.47 — | $465.71M — | 13.38 | $0.85 — | |
Abrdn World Healthcare Fund THW | $12.19 — |
-2.64
|
$464.6M — | $123.79K — | $12.18 — | $12.5 — | $464.6M — | 0 | -$3.54 — | |
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 — | |
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 — | |
Royce Micro-Cap Trust RMT | $8.91 — |
-2.3
|
$442.99M — | $105.39K — | $8.89 — | $9.1 — | $442.99M — | 5.97 | $1.49 — | |
Gladstone Capital GLAD | $20.31 — |
-1.69
|
$441.83M — | $125.28K — | $20.25 — | $20.89 — | $441.83M — | 7.05 | $2.88 — | |
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 — | |
John Hancock Preferred Income Fund HPI | $16.09 — |
-1.53
|
$421.64M — | $30.31K — | $15.7 — | $16 — | $421.64M — | 528.66 | $0.03 — | |
Calamos Global Dynamic Income Fund CHW | $6.54 — |
+0.54
|
$417.35M — | $696.91K — | $6.49 — | $6.55 — | $417.35M — | 13.90 | $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 — | |
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 — | |
Advent Convertible and Income Fund AVK | $11.62 — |
-1.8
|
$401.98M — | $159.09K — | $11.58 — | $11.89 — | $401.98M — | 0 | -$0.19 — | |
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 — | |
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 — | |
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 — | |
Horizon Technology Finance HRZN | $11.21 — |
-0.36
|
$374.39M — | $294.26K — | $11.18 — | $11.31 — | $374.39M — | 0 | -$0.56 — | |
DWS Municipal Income Trust KTF | $9.37 — |
+0.54
|
$367.05M — | $117.17K — | $9.35 — | $9.43 — | $367.05M — | 24.02 | $0.39 — | |
BNY Mellon Strategic Municipals LEO | $5.88 — |
+0.34
|
$366.27M — | $127.01K — | $5.86 — | $5.91 — | $366.27M — | 147.00 | $0.04 — | |
BlackRock Energy and Resources Trust BGR | $13.31 — |
-1
|
$365.56M — | $137.59K — | $13.27 — | $13.63 — | $365.56M — | 19.28 | $0.69 — | |
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 — | |
KKR Income Opportunities Fund KIO | $13.17 — |
-0.9
|
$357.18M — | $145.23K — | $13.13 — | $13.32 — | $357.18M — | 0 | -$0.36 — | |
Abrdn Income Credit Strategies Fund ACP | $6.62 — |
-1.05
|
$344.97M — | $404.28K — | $6.62 — | $6.71 — | $344.97M — | 6.36 | $1.04 — | |
TriplePoint Venture Growth BDC TPVG | $9.18 — |
-1.5
|
$342.34M — | $377.71K — | $8.97 — | $9.21 — | $342.34M — | 0 | -$1.12 — | |
Duff & Phelps Utility and Infrastructure Fund DPG | $8.95 — |
-1.65
|
$341.73M — | $116.04K — | $8.95 — | $9.16 — | $341.73M — | 0 | -$0.69 — | |
Putnam Premier Income Trust PPT | $3.45 — |
-0.58
|
$332.13M — | $173.38K — | $3.45 — | $3.47 — | $332.13M — | 17.25 | $0.2 — | |
ASA Gold and Precious Metals ASA | $16.97 — |
-0.88
|
$327.35M — | $186.61K — | $16.8 — | $17.75 — | $327.35M — | 33.93 | $0.5 — | |
Stellus Capital Inv SCM | $13.4 — |
+0.15
|
$323.28M — | $175.33K — | $13.33 — | $13.48 — | $323.28M — | 16.75 | $0.8 — | |
Liberty All-Star Growth Fund ASG | $5.31 — |
-2.03
|
$314.45M — | $164.05K — | $5.28 — | $5.39 — | $314.45M — | 5.58 | $0.95 — | |
abrdn Global Premier Properties Fund AWP | $3.63 — |
-1.09
|
$310.03M — | $235.6K — | $3.6 — | $3.7 — | $310.03M — | 0 | -$0.18 — | |
Neuberger Berman Municipal Fund NBH | $10.18 — |
+0.2
|
$301.51M — | $158.19K — | $10.15 — | $10.19 — | $301.51M — | 84.83 | $0.12 — | |
MFS Intermediate Income Trust MIN | $2.63 — |
+1.15
|
$299.85M — | $626.1K — | $2.6 — | $2.63 — | $299.85M — | 32.87 | $0.08 — | |
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 — | |
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 — | |
BlackRock Floating Rate Income Trust BGT | $12.82 — |
-1.76
|
$286.09M — | $134.32K — | $12.82 — | $13.08 — | $286.09M — | 7.32 | $1.75 — | |
Virtus Convertible & Income Fund NCV | $3.12 — |
-2.5
|
$281.97M — | $424.28K — | $3.12 — | $3.22 — | $281.97M — | 34.66 | $0.09 — | |
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 — | |
RiverNorth Opportunities Fund RIV | $11.67 — |
-1.19
|
$250.36M — | $130.55K — | $11.6 — | $11.8 — | $250.36M — | 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 — | |
Templeton Emerging Markets Income Fund TEI | $5.27 — |
-1.86
|
$248.89M — | $163.43K — | $5.27 — | $5.37 — | $248.89M — | 7.02 | $0.75 — | |
TCW Strategic Income Fund TSI | $4.65 — |
+0.22
|
$222.2M — | $161.77K — | $4.63 — | $4.69 — | $222.2M — | 9.89 | $0.47 — | |
Clough Global Opportunities Fund GLO | $5.01 — |
-0.99
|
$214.76M — | $152.6K — | $5 — | $5.06 — | $214.76M — | 0 | -$0.36 — | |
Virtus Convertible & Income Fund II NCZ | $2.81 — |
-1.75
|
$213.89M — | $254.58K — | $2.8 — | $2.87 — | $213.89M — | 28.09 | $0.1 — | |
Credit Suisse High Yield Bond Fund DHY | $2 — |
-2.91
|
$207.03M — | $550.6K — | $2 — | $2.07 — | $207.03M — | 9.09 | $0.22 — | |
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 — | |
Oxford Square Capital OXSQ | $3.2 — |
0
|
$190.95M — | $414.43K — | $3.16 — | $3.23 — | $190.95M — | 10.00 | $0.32 — | |
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 — | |
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 — | |
Putnam Master Intermediate Income Trust PIM | $3.14 — |
+0.64
|
$151.78M — | $122.34K — | $3.11 — | $3.18 — | $151.78M — | 62.80 | $0.05 — | |
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 — | |
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 — | |
Clough Global Equity Fund GLQ | $6.21 — |
-0.48
|
$121.14M — | $19.43K — | $6.4 — | $6.45 — | $121.14M — | 0 | -$0.47 — | |
OFS Credit Company OCCI | $7.19 — |
-0.83
|
$114.83M — | $153.88K — | $7.14 — | $7.44 — | $114.83M — | 0 | -$0.16 — | |
High Income Securities Fund PCF | $6.44 — |
-0.92
|
$112.9M — | $162.2K — | $6.41 — | $6.52 — | $112.9M — | 18.94 | $0.34 — | |
Abrdn Australia Equity Fund IAF | $4.19 — |
-4.56
|
$111.53M — | $102.67K — | $4.18 — | $4.36 — | $111.53M — | 59.85 | $0.07 — | |
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 — | |
MFS Special Value Trust MFV | $4.41 — |
-0.11
|
$32.15M — | $244.92K — | $4.4 — | $4.42 — | $32.15M — | 33.92 | $0.13 — | |
Ilustrato Pictures ILUS | $0.01 — |
-0.43
|
$21.35M — | $2.36M — | $0.01 — | $0.01 — | $21.35M — | 0 | $0 — | |
Movement Industries MVNT | $0.02 — |
+0.8
|
$6.19M — | $384.07K — | $0.01 — | $0.02 — | $6.19M — | 0 | $0 — | |
NNRF NNRI | $0.003299 — |
0
|
$1.48M — | $312.5K — | $0.003299 — | $0.003299 — | $1.48M — | 0 | -$0.39 — | |
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