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$2.78T
Сapitalización del mercado total
$143.27B
Volumen total
BTC 59.71%     ETH 7.94%
Predominio

Del País: Estados Unidos Bolsa de valores: NYSE Área de negocio: Gestión de Activos Mercado de valores: precios y cotizaciones

Lista de todas las acciones y valores con precios, capitalizaciones de mercado, P/G y EPS
Estados Unidos (437)
Todos los sectores
Gestión de Activos (437)
Nombre Nombre Precio Precio 24h%
7d chart
24h%
7d chart
Cap.mercado Сap. del mercado Vol. Volumen bajo en 24h alto en 24h Сap. del mercado PER BPA
Nombre Nombre Precio Precio 24h%
7d chart
24h%
7d chart
Cap.mercado Сap. del mercado Vol. Volumen bajo en 24h alto en 24h Сap. del mercado PER BPA
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Blackstone  BX $147.66
+3.4
$179.95B $3.99M $140.26 $148.57 $179.95B 40.67 $3.63
BlackRock  BLK $961.84
+1.88
$149.33B $487.81K $936.42 $965.96 $149.33B 22.89 $42.01
KKR &  KKR $120.9
+2.6
$111.57B $4.05M $115 $121.65 $111.57B 36.85 $3.28
Brookfield Asset Management  BAM $50.81
+2.65
$83.19B $1.37M $48.42 $50.83 $83.19B 39.69 $1.28
Apollo Global Management  APO $141.52
+2.28
$80.73B $2.42M $135.17 $142.78 $80.73B 19.30 $7.33
The Bank of New York Mellon  BK $84.22
+0.54
$60.47B $3.16M $82.56 $84.55 $60.47B 14.52 $5.8
Ares Management  ARES $154.5
+3.39
$48.73B $2.11M $146.04 $154.85 $48.73B 75.36 $2.05
Ameriprise Financial  AMP $494.36
+1.16
$47.37B $460.72K $484.96 $496.33 $47.37B 14.96 $33.03
Blue Owl Capital  OWL $21.16
+3.62
$32.32B $5.27M $19.85 $21.18 $32.32B 105.79 $0.2
State Street  STT $89.59
+0.87
$25.84B $1.11M $87.92 $90.18 $25.84B 10.91 $8.21
State Street Corporation  STT-PG $22.63
+0.22
$17.4B $41.81K $22.52 $22.67 $17.4B 3.06 $7.38
Franklin Resources  BEN $19.43
+0.62
$10.21B $2.5M $19.06 $19.52 $10.21B 30.35 $0.64
Blackstone Secured Lending Fund  BXSL $32.48
-0.79
$7.4B $640.1K $32.36 $32.74 $7.4B 9.41 $3.45
Invesco  IVZ $15.69
+3.29
$7.03B $6.16M $14.98 $15.83 $7.03B 13.29 $1.18
PIMCO Dynamic Income Fund  PDI $19.87
+0.4
$7.02B $1.66M $19.77 $19.88 $7.02B 8.99 $2.21
FS KKR Capital  FSK $21.29
-0.33
$5.96B $2.2M $21.2 $21.45 $5.96B 10.18 $2.09
Janus Henderson  JHG $36.83
+1.43
$5.8B $1.07M $35.67 $36.95 $5.8B 14.38 $2.56
Main Street Capital  MAIN $57.47
-0.43
$5.09B $301.47K $56.51 $57.84 $5.09B 9.82 $5.85
Affiliated Managers  AMG $172.56
+1.85
$5.05B $160.71K $167.52 $173.47 $5.05B 11.40 $15.13
AllianceBernstein Holding L.P  AB $39.01
+1.4
$4.31B $674.76K $38.36 $39.49 $4.31B 10.51 $3.71
Cohen & Steers  CNS $81.05
+0.45
$4.13B $118.76K $79.53 $81.56 $4.13B 27.28 $2.97
DNP Select Income Fund  DNP $9.78
-0.31
$3.62B $429.63K $9.75 $9.82 $3.62B 4.23 $2.31
Nuveen AMT-Free Quality Municipal Income Fund  NEA $11.2
-0.36
$3.35B $881.56K $11.2 $11.25 $3.35B 5.86 $1.91
Federated Hermes  FHI $41.08
+0.39
$3.33B $511.21K $40.43 $41.35 $3.33B 12.71 $3.23
Hercules Capital  HTGC $19.06
-0.21
$3.3B $1.1M $18.9 $19.15 $3.3B 11.83 $1.61
Burford Capital  BUR $13.63
+0.96
$2.99B $698.69K $13.35 $13.67 $2.99B 20.65 $0.66
Reaves Utility Income Fund  UTG $33.05
+0.82
$2.91B $315.8K $32.68 $33.13 $2.91B 3.19 $10.35
Artisan Partners Asset Management  APAM $40.22
+1.54
$2.82B $356.36K $38.81 $40.53 $2.82B 10.98 $3.66
Nuveen Quality Municipal Income Fund  NAD $11.53
-0.35
$2.69B $447.99K $11.52 $11.59 $2.69B 5.76 $2
Nuveen AMT-Free Municipal Credit Income Fund  NVG $12.42
0
$2.65B $213.52K $12.4 $12.5 $2.65B 4.77 $2.6
PIMCO Corporate & Income Opportunity Fund  PTY $14.52
+0.14
$2.64B $557.8K $14.51 $14.55 $2.64B 10.22 $1.42
Nuveen Preferred & Income Opportunities Fund  JPC $7.93
-0.13
$2.55B $703.05K $7.91 $7.95 $2.55B 6.77 $1.17
Guggenheim Strategic Opportunities Fund  GOF $15.66
+1.03
$2.54B $1.28M $15.47 $15.69 $2.54B 7.38 $2.12
Eaton Vance Tax-Managed Global Diversified Equity Income Fund  EXG $8.18
+0.49
$2.5B $458.15K $8.05 $8.23 $2.5B 4.21 $1.94
Cohen & Steers Infrastructure Fund  UTF $25.89
+1.01
$2.5B $232.16K $25.6 $25.92 $2.5B 9.11 $2.84
Nuveen Municipal Credit Income Fund  NZF $12.27
-0.65
$2.38B $274.49K $12.25 $12.39 $2.38B 5.26 $2.33
Adams Diversified Equity Fund  ADX $19.25
+0.52
$2.26B $173.81K $19 $19.35 $2.26B 4.16 $4.62
Eaton Vance Tax-Managed Diversified Equity Income Fund  ETY $14.31
+0.42
$2.25B $206.36K $14.16 $14.39 $2.25B 3.28 $4.35
Kayne Anderson Energy Infrastructure Fund  KYN $12.99
+0.15
$2.2B $337.34K $12.89 $13.04 $2.2B 2.36 $5.5
The Gabelli Dividend & Income Trust  GDV $24.37
+0.87
$2.17B $147.18K $23.96 $24.4 $2.17B 7.06 $3.45
Sixth Street Specialty Lending  TSLX $22.29
-0.62
$2.09B $310.65K $22.18 $22.43 $2.09B 10.98 $2.03
Brookfield Business  BBUC $27.43
+2.24
$2B $66.28K $26.6 $27.5 $2B 0 -$12.16
Liberty All-Star Equity Fund  USA $6.6
0
$1.91B $477.08K $6.53 $6.65 $1.91B 7.25 $0.91
Cornerstone Strategic Investment Fund  CLM $7.48
+0.54
$1.87B $893.44K $7.4 $7.48 $1.87B 4.79 $1.56
Nuveen Municipal Value Fund  NUV $8.76
-0.11
$1.82B $345.79K $8.73 $8.78 $1.82B 9.12 $0.96
Eaton Vance Tax-Advantaged Dividend Income Fund  EVT $23.35
+0.52
$1.74B $82.63K $23.1 $23.5 $1.74B 3.52 $6.63
BlackRock Innovation and Growth Term Trust  BIGZ $8.06
-0.37
$1.72B $727.43K $8.03 $8.16 $1.72B 9.05 $0.89
Cohen & Steers Quality Income Realty Fund  RQI $12.71
+0.63
$1.71B $193.08K $12.56 $12.79 $1.71B 17.17 $0.74
Royce Small-Cap Trust  RVT $14.48
+0.98
$1.7B $131.2K $14.23 $14.53 $1.7B 10.72 $1.35
The Gabelli Equity Trust  GAB $5.5
+0.36
$1.69B $413.99K $5.44 $5.5 $1.69B 8.33 $0.66
Nuveen California Quality Municipal Income Fund  NAC $11.28
-0.09
$1.63B $563.32K $11.25 $11.35 $1.63B 14.64 $0.77
Tri-Continental  TY $30.79
+0.42
$1.62B $61.68K $30.41 $31.13 $1.62B 4.95 $6.21
Eaton Vance Tax-Managed Buy-Write Opportunities Fund  ETV $13.31
+0.6
$1.55B $161.16K $13.16 $13.39 $1.55B 4.55 $2.92
BlackRock Enhanced Equity Dividend Trust  BDJ $8.62
-0.12
$1.53B $307.23K $8.56 $8.66 $1.53B 9.79 $0.88
BlackRock Corporate High Yield Fund  HYT $9.57
-0.31
$1.48B $351.06K $9.56 $9.6 $1.48B 11.00 $0.87
Eaton Vance Tax-Advantaged Global Dividend Income Fund  ETG $18.32
+0.71
$1.4B $69.38K $18.02 $18.38 $1.4B 3.57 $5.13
DoubleLine Income Solutions Fund  DSL $12.52
-0.4
$1.4B $395.7K $12.5 $12.56 $1.4B 4.96 $2.52
Blackrock Municipal 2030 Target Term Trust  BTT $21.23
-0.19
$1.39B $112.48K $21.22 $21.28 $1.39B 23.32 $0.91
Nuveen S&P 500 Buy-Write Income Fund  BXMX $13.22
+0.46
$1.38B $132.56K $13.07 $13.26 $1.38B 5.95 $2.22
Goldman Sachs BDC  GSBD $11.6
-0.6
$1.36B $646.91K $11.54 $11.67 $1.36B 21.09 $0.55
The Gabelli Equity Trust Inc.  GAB-PH $21.2
+0.12
$1.34B $1.47K $21.14 $21.2 $1.34B 18.03 $1.18
P10  PX $11.94
+2.14
$1.33B $238.59K $11.55 $12.02 $1.33B 74.62 $0.16
Central Securities  CET $45.05
-0.16
$1.3B $19.7K $44.71 $45.3 $1.3B 4.43 $10.15
BlackRock Science and Technology Term Trust  BSTZ $18.23
+0.72
$1.29B $355.82K $17.94 $18.24 $1.29B 2.31 $7.86
Bridge Inv  BRDG $9.9
+2.48
$1.23B $324.77K $9.62 $10 $1.23B 76.15 $0.13
Virtus Investment Partners  VRTS $175.01
+0.57
$1.22B $46.05K $172.3 $175.01 $1.22B 10.35 $16.9
Nuveen Municipal High Income Opportunity Fund  NMZ $10.9
0
$1.22B $223.48K $10.87 $10.93 $1.22B 4.63 $2.35
General American Investors Company  GAM $50.91
+0.47
$1.19B $11.63K $50.18 $51.25 $1.19B 4.70 $10.81
BlackRock Science and Technology Trust  BST $33.87
+1.1
$1.18B $78.64K $33.44 $33.98 $1.18B 4.30 $7.86
Eaton Vance Limited Duration Income Fund  EVV $10.09
+0.5
$1.17B $402.7K $9.98 $10.15 $1.17B 6.63 $1.52
Sprott  SII $44.88
0
$1.16B $58.79K $44.58 $45.4 $1.16B 23.49 $1.91
Virtus Dividend, Interest & Premium Strategy Fund  NFJ $12.13
+0.17
$1.15B $203.24K $12.01 $12.19 $1.15B 17.83 $0.68
Nuveen Floating Rate Income Fund  JFR $8.47
-0.24
$1.14B $493.03K $8.44 $8.48 $1.14B 7.30 $1.16
Eaton Vance Enhanced Equity Income Fund II  EOS $21.36
+0.95
$1.12B $105.22K $21 $21.41 $1.12B 4.02 $5.31
First Trust Intermediate Duration Preferred & Income Fund  FPF $18.26
-0.16
$1.11B $71.78K $18.23 $18.38 $1.11B 4.01 $4.55
AMTD IDEA Group  AMTD $1.07
+1.24
$1.11B $4.82K $1.05 $1.1 $1.11B 0 -$148
Cohen & Steers Tax-Advantaged Preferred Securities and Income Fund  PTA $19.76
+0.82
$1.09B $122.26K $19.53 $19.81 $1.09B 4.52 $4.37
Cohen & Steers REIT and Preferred Income Fund  RNP $22.45
+1.95
$1.07B $225.89K $21.93 $22.55 $1.07B 11.69 $1.92
Bain Capital Specialty Finance  BCSF $16.45
-1.32
$1.06B $396.69K $16.39 $16.57 $1.06B 8.89 $1.85
BlackRock Taxable Municipal Bond Trust  BBN $16.68
+0.42
$1.03B $113.3K $16.61 $16.74 $1.03B 87.78 $0.19
BlackRock MuniHoldings California Quality Fund  MUC $10.81
-0.18
$1.02B $276.5K $10.77 $10.84 $1.02B 25.13 $0.43
BlackRock Credit Allocation Income Trust  BTZ $10.73
-0.56
$1B $217.3K $10.71 $10.82 $1B 15.55 $0.69
PennantPark Floating Rate Capital  PFLT $11.08
-0.45
$974.55M $1.09M $11.04 $11.13 $974.55M 8.08 $1.37
AllianceBernstein Global High Income Fund  AWF $10.78
+0.09
$929.56M $202.34K $10.75 $10.82 $929.56M 6.16 $1.75
Eagle Point Credit Company  ECC $8.31
+1.22
$929.35M $1.26M $8.16 $8.34 $929.35M 9.66 $0.86
ClearBridge Energy Midstream Opportunity Fund  EMO $50.61
+1.38
$920.61M $40.05K $49.75 $50.61 $920.61M 2.52 $20.07
Nuveen New York AMT-Free Quality Municipal Income Fund  NRK $10.37
+0.1
$904.63M $238.08K $10.33 $10.41 $904.63M 12.34 $0.84
Eaton Vance Tax-Managed Global Buy-Write Opportunities Fund  ETW $8.24
+0.12
$894.85M $311.66K $8.16 $8.29 $894.85M 8.15 $1.01
Abrdn Total Dynamic Dividend Fund  AOD $8.43
+0.48
$888.78M $322.96K $8.36 $8.44 $888.78M 4.36 $1.93
PIMCO Corporate & Income Strategy Fund  PCN $13.64
0
$872.66M $125.68K $13.61 $13.7 $872.66M 10.02 $1.36
BlackRock Municipal Income Fund  MUI $12.09
+3.11
$870.38M $2.37M $11.7 $12.1 $870.38M 22.38 $0.54
John Hancock Tax-Advantaged Dividend Income Fund  HTD $24.04
+0.08
$851.78M $82.88K $23.9 $24.14 $851.78M 3.26 $7.37
Cornerstone Total Return Fund  CRF $7.25
+0.28
$846.76M $408.41K $7.2 $7.26 $846.76M 5.00 $1.45
BlackRock MuniYield Quality Fund  MQY $11.76
-0.59
$844.76M $105.78K $11.72 $11.8 $844.76M 18.96 $0.62
Abrdn Healthcare Opportunities Fund  THQ $20.39
+0.44
$843.25M $93.81K $20.16 $20.4 $843.25M 4.45 $4.58
Abrdn Healthcare Investors  HQH $15.89
+0.25
$828.34M $254.17K $15.73 $15.89 $828.34M 4.50 $3.53
PIMCO High Income Fund  PHK $4.88
+0.21
$819.3M $693.4K $4.86 $4.88 $819.3M 7.87 $0.62
Noah  NOAH $9.54
+0.74
$787.44M $38.97K $9.43 $9.65 $787.44M 10.25 $0.93
BlackRock Enhanced Large Cap Core Fund  CII $18.7
+1.08
$784.79M $50.65K $18.46 $18.76 $784.79M 6.53 $2.86
Associated Capital  AC $37
-3.12
$782.64M $5.97K $37 $39.18 $782.64M 17.78 $2.08
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