Página 19 de resultados Del País: Estados Unidos Bolsa de valores: NYSE Mercado de valores: precios y cotizaciones
Lista de todas las acciones y valores con precios, capitalizaciones de mercado, P/G y EPS
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| 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 | Predicción |
|---|
| 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 | Predicción | |
|---|---|---|---|---|---|---|---|---|---|---|---|
| {{ item.name }} {{ item.symbol }} | {{ item.price }} {{ item.price_usd }} |
{{ item.change_pct }}
|
{{ 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 }} |
|
|
| ZipRecruiter ZIP | $2.83 — |
+0.17
|
$321.83M — | $104.03K — | $3.83 — | $4.04 — | $321.83M — | 0 | -$0.46 — | ||
| The Taiwan Fund TWN | $52.64 — |
-0.49
|
$321.30M — | $43.72K — | $51.37 — | $52.89 — | $321.30M — | 4.41 | $11.92 — | ||
| Quad/Graphics QUAD | $6.30 — |
-1.25
|
$320.55M — | $78.00K — | $6.30 — | $6.37 — | $320.55M — | 15.00 | $0.42 — | ||
| Ooma OOMA | $11.46 — |
+2.87
|
$319.98M — | $120.57K — | $11.58 — | $11.78 — | $319.98M — | 145.12 | $0.08 — | ||
| Barnes & Noble Education BNED | $8.61 — |
-3.21
|
$318.74M — | $330.86K — | $9.26 — | $9.66 — | $318.74M — | 0 | -$2.50 — | ||
| Ares Dynamic Credit Allocation Fund ARDC | $13.51 — |
+0.17
|
$317.75M — | $50.21K — | $13.28 — | $13.37 — | $317.75M — | 10.64 | $1.25 — | ||
| Putnam Municipal Opportunities Trust PMO | $10.66 — |
+1.9
|
$316.68M — | $121.54K — | $10.51 — | $10.72 — | $316.68M — | 267.50 | $0.04 — | ||
| Marine Products MPX | $9.47 — |
+0.32
|
$313.24M — | $15.35K — | $8.95 — | $9.14 — | $313.24M — | 23.55 | $0.38 — | ||
| Japan Smaller Capitalization Fund JOF | $11.02 — |
+0.64
|
$312.24M — | $76.55K — | $10.96 — | $11.08 — | $312.24M — | 4.57 | $2.41 — | ||
| AllianceBernstein National Municipal Income Fund, Inc. AFB | $10.78 — |
+0.47
|
$309.87M — | $93.02K — | $10.71 — | $10.80 — | $309.87M — | 0 | $0.00 — | ||
| BlackRock MuniHoldings New York Quality Fund MHN | $10.24 — |
+0.2
|
$309.67M — | $92.45K — | $10.21 — | $10.26 — | $309.67M — | 0 | -$0.91 — | ||
| Templeton Emerging Markets Income Fund TEI | $6.55 — |
+3.48
|
$309.35M — | $317.10K — | $6.39 — | $6.55 — | $309.35M — | 5.84 | $1.12 — | ||
| Virtus Convertible & Income Fund II NCZ-PA | $20.50 — |
-0.19
|
$309.06M — | $11.16K — | $20.46 — | $20.57 — | $309.06M — | 15.58 | $1.31 — | ||
| RiverNorth Flexible Municipal Income Fund II RFMZ | $12.69 — |
+0.32
|
$309.02M — | $254.56K — | $12.64 — | $12.73 — | $309.02M — | 0 | -$0.59 — | ||
| OneConnect Financial Technology OCFT | $7.89 — |
0
|
$307.70M — | $122.44K — | $7.87 — | $7.90 — | $307.70M — | 0 | -$2.62 — | ||
| BNY Mellon Strategic Municipal Bond Fund DSM | $6.01 — |
+0.65
|
$307.52M — | $22.42K — | $6.04 — | $6.13 — | $307.52M — | 0 | -$0.16 — | ||
| Barings Global Short Duration High Yield Fund BGH | $15.11 — |
-1.05
|
$303.17M — | $69.31K — | $15.11 — | $15.27 — | $303.17M — | 9.38 | $1.61 — | ||
| Eagle Point Income Company EIC | $10.94 — |
+0.53
|
$301.47M — | $203.80K — | $11.26 — | $11.60 — | $301.47M — | 8.88 | $1.28 — | ||
| Saba Capital Income & Opportunities Fund BRW | $6.87 — |
+0.43
|
$300.64M — | $344.72K — | $6.96 — | $7.01 — | $300.64M — | 5.84 | $1.20 — | ||
| Eaton Vance Floating-Rate Income Trust EFT | $11.29 — |
+0.23
|
$300.07M — | $230.69K — | $11.23 — | $11.30 — | $300.07M — | 15.25 | $0.74 — | ||
| Virtus Global Dividend & Income Fund ZTR | $6.30 — |
+0.16
|
$299.53M — | $349.04K — | $6.30 — | $6.34 — | $299.53M — | 11.24 | $0.56 — | ||
| Morgan Stanley China A Share Fund CAF | $17.43 — |
+1.16
|
$299.38M — | $28.00K — | $17.29 — | $17.50 — | $299.38M — | 8.67 | $2.01 — | ||
| MFS Intermediate Income Trust MIN | $2.62 — |
+0.16
|
$299.29M — | $79.30K — | $2.62 — | $2.64 — | $299.29M — | 11.95 | $0.22 — | ||
| DoubleLine Opportunistic Credit Fund DBL | $15.31 — |
+0.12
|
$297.84M — | $35.34K — | $15.17 — | $15.30 — | $297.84M — | 14.10 | $1.08 — | ||
| Cohen & Steers Total Return Realty Fund RFI | $11.12 — |
+1.18
|
$297.16M — | $173.77K — | $10.99 — | $11.12 — | $297.16M — | 10.01 | $1.11 — | ||
| agilon health AGL | $0.97 — |
+0.09
|
$296.59M — | $544.94K — | $0.71 — | $0.75 — | $296.59M — | 0 | -$0.78 — | ||
| Orion OEC | $6.24 — |
+6.67
|
$296.47M — | $651.23K — | $5.16 — | $5.39 — | $296.47M — | 0 | -$0.57 — | ||
| Zhihu ZH | $3.78 — |
+3
|
$295.99M — | $27.73K — | $3.24 — | $3.30 — | $295.99M — | 21.99 | $0.15 — | ||
| Braemar Hotels & Resorts Inc. BHR-PB | $15.16 — |
+0.74
|
$295.84M — | $13.52K — | $15.07 — | $15.16 — | $295.84M — | 0 | -$0.30 — | ||
| Nuveen Global High Income Fund JGH | $12.78 — |
+0.24
|
$294.44M — | $58.60K — | $12.55 — | $12.62 — | $294.44M — | 7.71 | $1.63 — | ||
| Nuveen California Municipal Value Fund NCA | $8.89 — |
+1.14
|
$294.33M — | $177.47K — | $8.80 — | $8.89 — | $294.33M — | 0 | -$0.21 — | ||
| Abrdn Global Dynamic Dividend Fund AGD | $12.54 — |
+0.08
|
$293.80M — | $32.42K — | $11.73 — | $12.00 — | $293.80M — | 12.83 | $0.92 — | ||
| The Mexico Fund MXF | $20.34 — |
-0.78
|
$293.30M — | $144.28K — | $20.00 — | $20.70 — | $293.30M — | 0 | -$2.36 — | ||
| abrdn Emerging Markets ex-China Fund AEF | $7.75 — |
+0.58
|
$292.74M — | $16.07K — | $7.15 — | $7.23 — | $292.74M — | 7.43 | $0.97 — | ||
| Civeo CVEO | $23.10 — |
-0.3
|
$289.95M — | $33.38K — | $22.93 — | $23.29 — | $289.95M — | 0 | -$2.09 — | ||
| Invesco Municipal Income Opportunities Trust OIA | $6.18 — |
+0.49
|
$288.44M — | $160.87K — | $6.02 — | $6.06 — | $288.44M — | 0 | -$0.31 — | ||
| Templeton Dragon Fund TDF | $11.36 — |
+0.53
|
$288.01M — | $41.71K — | $11.29 — | $11.47 — | $288.01M — | 4.54 | $2.50 — | ||
| BlackRock Municipal Income Quality Trust BYM | $10.93 — |
+0.29
|
$283.64M — | $7.43K — | $10.80 — | $10.95 — | $283.64M — | 0 | -$0.64 — | ||
| Clearwater Paper CLW | $20.09 — |
+3.62
|
$282.95M — | $29.40K — | $17.26 — | $17.67 — | $282.95M — | 0 | -$4.61 — | ||
| City Office REIT CIO | $6.99 — |
+0.14
|
$281.33M — | $520.25K — | $6.96 — | $6.98 — | $281.33M — | 0 | -$3.21 — | ||
| BRT Apartments BRT | $14.65 — |
+0.34
|
$280.17M — | $698.00 — | $14.69 — | $14.86 — | $280.17M — | 0 | -$0.51 — | ||
| TPG Mortgage Investment Trust MITT | $8.66 — |
+2.73
|
$279.67M — | $193.46K — | $8.79 — | $8.89 — | $279.67M — | 9.47 | $0.93 — | ||
| Putnam Managed Municipal Income Trust PMM | $6.26 — |
+0.56
|
$279.59M — | $83.94K — | $6.20 — | $6.30 — | $279.59M — | 29.80 | $0.21 — | ||
| NYLI MacKay DefinedTerm Muni Opportunities Fund MMD | $14.88 — |
+0.34
|
$279.44M — | $172.64K — | $14.82 — | $14.91 — | $279.44M — | 0 | -$0.21 — | ||
| Xperi XPER | $6.07 — |
+2.04
|
$277.55M — | $51.41K — | $5.86 — | $6.00 — | $277.55M — | 37.43 | $0.16 — | ||
| CoastalSouth Bancshares COSO | $24.00 — |
+0.04
|
$277.19M — | $469.34K — | $22.62 — | $23.85 — | $277.19M — | 10.06 | $2.30 — | ||
| Virtus Diversified Income & Convertible Fund ACV | $26.46 — |
+0.49
|
$274.56M — | $23.74K — | $26.33 — | $26.59 — | $274.56M — | 6.34 | $4.17 — | ||
| Genesco GCO | $25.36 — |
+2.26
|
$273.77M — | $106.18K — | $24.47 — | $25.51 — | $273.77M — | 0 | -$0.22 — | ||
| Nuveen Core Equity Alpha Fund JCE | $16.09 — |
+0.63
|
$273.57M — | $117.03K — | $15.96 — | $16.14 — | $273.57M — | 7.34 | $2.19 — | ||
| PIMCO Strategic Income Fund RCS | $5.83 — |
+4.67
|
$273.35M — | $1.27M — | $5.77 — | $6.16 — | $273.35M — | 8.35 | $0.70 — | ||
| Ares Commercial Real Estate ACRE | $4.84 — |
+2.76
|
$271.83M — | $788.40K — | $4.91 — | $5.00 — | $271.83M — | 0 | -$0.14 — | ||
| Rivernorth Managed Duration Municipal Income Fund RMM | $14.00 — |
+0.14
|
$269.64M — | $200.28K — | $13.56 — | $13.66 — | $269.64M — | 0 | -$0.65 — | ||
| Entravision Communications EVC | $3.27 — |
+1.3
|
$269.29M — | $167.56K — | $2.95 — | $2.99 — | $269.29M — | 0 | -$1.29 — | ||
| Eaton Vance National Municipal Opportunities Trust EOT | $17.04 — |
+1.97
|
$266.25M — | $106.63K — | $16.60 — | $17.04 — | $266.25M — | 0 | -$0.13 — | ||
| Virtus Convertible & Income Fund II NCZ | $14.18 — |
+0.07
|
$265.64M — | $42.23K — | $13.96 — | $14.08 — | $265.64M — | 1.27 | $10.94 — | ||
| Finance of America Companies FOA | $24.09 — |
+1.13
|
$263.91M — | $71.50K — | $23.52 — | $24.22 — | $263.91M — | 0 | -$1.03 — | ||
| Allspring Multi-Sector Income Fund ERC | $9.36 — |
+0.21
|
$262.58M — | $114.56K — | $9.35 — | $9.39 — | $262.58M — | 12.64 | $0.74 — | ||
| MFS Charter Income Trust MCR | $6.30 — |
+0.16
|
$262.22M — | $219.51K — | $6.28 — | $6.31 — | $262.22M — | 14.29 | $0.44 — | ||
| First Trust Senior Floating Rate Income Fund II FCT | $10.01 — |
+0.05
|
$261.13M — | $59.86K — | $10.05 — | $10.07 — | $261.13M — | 14.15 | $0.71 — | ||
| LMP Capital and Income Fund SCD | $14.84 — |
+0.92
|
$259.94M — | $99.63K — | $14.74 — | $14.87 — | $259.94M — | 13.01 | $1.14 — | ||
| Templeton Emerging Markets Fund EMF | $18.59 — |
+3.7
|
$259.64M — | $118.53K — | $16.80 — | $17.48 — | $259.64M — | 5.16 | $3.36 — | ||
| Citizens CIA | $5.51 — |
+4.36
|
$259.53M — | $55.04K — | $5.08 — | $5.34 — | $259.53M — | 24.57 | $0.21 — | ||
| TriplePoint Venture Growth BDC TPVG | $6.50 — |
+0.78
|
$259.37M — | $473.19K — | $6.36 — | $6.49 — | $259.37M — | 7.73 | $0.83 — | ||
| Braemar Hotels & Resorts Inc. BHR-PD | $17.61 — |
-0.11
|
$259.09M — | $6.65K — | $18.26 — | $18.49 — | $259.09M — | 0 | -$0.30 — | ||
| Alpine Income Property Trust PINE | $17.53 — |
+1.45
|
$258.53M — | $84.50K — | $16.58 — | $16.86 — | $258.53M — | 0 | -$0.36 — | ||
| 3D Systems DDD | $2.70 — |
+2.29
|
$258.52M — | $1.72M — | $1.76 — | $1.80 — | $258.52M — | 44.25 | $0.04 — | ||
| Nuveen AMT-Free Municipal Value Fund NUW | $14.29 — |
+0.21
|
$258.14M — | $46.67K — | $14.28 — | $14.38 — | $258.14M — | 119.83 | $0.12 — | ||
| NL Industries NL | $5.28 — |
-1.12
|
$258.00M — | $45.33K — | $5.21 — | $5.42 — | $258.00M — | 26.40 | $0.20 — | ||
| San Juan Basin Royalty Trust SJT | $5.79 — |
+1.85
|
$256.81M — | $215.26K — | $5.38 — | $5.57 — | $256.81M — | 0 | -$0.01 — | ||
| Tredegar TG | $7.88 — |
-1.08
|
$256.07M — | $32.43K — | $7.35 — | $7.51 — | $256.07M — | 105.14 | $0.07 — | ||
| MFS Multimarket Income Trust MMT | $4.68 — |
0
|
$256.05M — | $193.64K — | $4.59 — | $4.68 — | $256.05M — | 12.26 | $0.38 — | ||
| Wells Fargo Advantage Funds - Allspring Global Dividend Opportunity Fund EOD | $5.94 — |
+0.51
|
$253.23M — | $152.37K — | $5.85 — | $5.89 — | $253.23M — | 8.64 | $0.68 — | ||
| Western Asset High Yield Opportunity Fund HYI | $11.12 — |
+0.18
|
$252.51M — | $50.28K — | $11.11 — | $11.14 — | $252.51M — | 11.60 | $0.96 — | ||
| Spire Global, Inc. SPIR | $11.81 — |
+0.77
|
$252.22M — | $637.08K — | $7.59 — | $7.92 — | $252.22M — | 21.77 | $0.35 — | ||
| W&T Offshore WTI | $1.68 — |
+1.2
|
$249.95M — | $657.51K — | $1.66 — | $1.70 — | $249.95M — | 0 | -$0.99 — | ||
| Franklin Limited Duration Income Trust FTF | $6.17 — |
+0.33
|
$249.30M — | $207.94K — | $6.14 — | $6.17 — | $249.30M — | 12.85 | $0.48 — | ||
| SelectQuote SLQT | $1.37 — |
+2.21
|
$244.60M — | $741.04K — | $1.35 — | $1.40 — | $244.60M — | 139.00 | $0.01 — | ||
| Cohen & Steers Select Preferred and Income Fund PSF | $20.46 — |
+0.2
|
$244.53M — | $53.04K — | $20.22 — | $20.36 — | $244.53M — | 9.96 | $2.04 — | ||
| BlackRock New York Municipal Income Trust BNY | $10.15 — |
+0.27
|
$244.31M — | $17.20K — | $10.05 — | $10.15 — | $244.31M — | 0 | -$0.97 — | ||
| Bakkt BKKT | $10.16 — |
-2.5
|
$244.23M — | $823.20K — | $10.15 — | $10.69 — | $244.23M — | 0 | -$5.71 — | ||
| Aspen Aerogels ASPN | $3.28 — |
+1.23
|
$243.81M — | $3.83M — | $2.91 — | $3.04 — | $243.81M — | 0 | -$3.71 — | ||
| Clough Global Opportunities Fund GLO | $5.68 — |
+0.18
|
$242.91M — | $145.17K — | $5.67 — | $5.71 — | $242.91M — | 35.50 | $0.16 — | ||
| Morgan Stanley India Investment Fund IIF | $24.92 — |
-0.12
|
$240.70M — | $98.88K — | $24.84 — | $24.99 — | $240.70M — | 16.95 | $1.47 — | ||
| Ashford Hospitality Trust, Inc. AHT-PF | $14.07 — |
+0.5
|
$240.68M — | $5.21K — | $13.68 — | $14.41 — | $240.68M — | 0 | -$8.49 — | ||
| TCW Strategic Income Fund TSI | $4.88 — |
+0.4
|
$237.97M — | $83.63K — | $4.96 — | $4.98 — | $237.97M — | 10.37 | $0.48 — | ||
| Ashford Hospitality Trust, Inc. AHT-PI | $14.00 — |
-0.78
|
$236.57M — | $2.60K — | $14.00 — | $14.35 — | $236.57M — | 0 | -$8.49 — | ||
| Methode Electronics MEI | $6.68 — |
-1.47
|
$236.53M — | $153.59K — | $6.64 — | $6.81 — | $236.53M — | 0 | -$1.78 — | ||
| X Financial XYF | $5.78 — |
+3.21
|
$236.31M — | $238.88K — | $5.75 — | $6.04 — | $236.31M — | 0.99 | $5.81 — | ||
| Ashford Hospitality Trust, Inc. AHT-PH | $13.84 — |
+0.65
|
$235.59M — | $657.00 — | $13.84 — | $14.28 — | $235.59M — | 0 | -$8.49 — | ||
| Lazard Global Total Return and Income Fund LGI | $17.53 — |
+0.11
|
$228.12M — | $42.70K — | $17.47 — | $17.59 — | $228.12M — | 13.28 | $1.32 — | ||
| Neuberger High Yield Strategies Fund NHS | $7.42 — |
+3.06
|
$227.36M — | $343.55K — | $7.21 — | $7.46 — | $227.36M — | 9.39 | $0.79 — | ||
| BlackRock MuniVest Fund II MVT | $10.75 — |
+1.9
|
$224.26M — | $97.92K — | $10.55 — | $10.77 — | $224.26M — | 0 | -$0.73 — | ||
| Braemar Hotels & Resorts BHR | $2.91 — |
0
|
$223.01M — | $239.86K — | $2.87 — | $2.94 — | $223.01M — | 0 | -$0.87 — | ||
| Nuveen Real Estate Income Fund JRS | $7.66 — |
+0.26
|
$221.61M — | $307.71K — | $7.61 — | $7.70 — | $221.61M — | 15.03 | $0.51 — | ||
| MFS Municipal Income Trust MFM | $5.38 — |
+0.56
|
$221.59M — | $181.74K — | $5.34 — | $5.40 — | $221.59M — | 26.89 | $0.20 — | ||
| BlackRock MuniYield Quality Fund II MQT | $10.01 — |
+0.15
|
$221.55M — | $19.26K — | $9.93 — | $10.02 — | $221.55M — | 0 | -$0.68 — | ||
| Hamilton Beach Brands Holding Company HBB | $19.02 — |
-1.21
|
$219.80M — | $26.17K — | $16.14 — | $17.05 — | $219.80M — | 7.09 | $2.30 — | ||
| BlackRock MuniHoldings Quality Fund II MUE | $9.98 — |
+0.1
|
$219.62M — | $7.93K — | $9.92 — | $10.03 — | $219.62M — | 0 | -$0.69 — | ||
| Angel Oak Mortgage REIT AOMR | $8.74 — |
+1.27
|
$216.25M — | $48.77K — | $8.62 — | $8.70 — | $216.25M — | 11.27 | $0.77 — | ||
| J.Jill JILL | $14.02 — |
-0.92
|
$213.49M — | $120.01K — | $13.95 — | $14.15 — | $213.49M — | 6.43 | $2.18 — | ||
|
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