Page de résultat 4 pour Industrie : Gestion d'actifs Marché boursier - Cotations et cours
Liste de toutes les actions et titres avec cours, capitalisations boursières, ratios P/E et BPA
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| Nom Nom | Prix Prix |
24h% 7j Graphique 24h%&7j |
Cap. du marché Cap. du marché | VOL Volume | 24h bas | 24h de haut | Cap. du marché | PER | BPA | Prévision |
|---|
| Nom Nom | Prix Prix |
24h% 7j Graphique 24h%&7j |
Cap. du marché Cap. du marché | VOL Volume | 24h bas | 24h de haut | Cap. du marché | PER | BPA | Prévision | |
|---|---|---|---|---|---|---|---|---|---|---|---|
| {{ 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 }} |
|
|
| BlackRock Limited Duration Income Trust BLW | $13.79 — |
-0.07
|
$534.14M — | $179.24K — | $13.76 — | $13.81 — | $534.14M — | 9.92 | $1.39 — | ||
| Invesco California Value Municipal Income Trust VCV | $11.33 — |
+0.35
|
$533.51M — | $138.94K — | $10.88 — | $11.11 — | $533.51M — | 0 | -$0.79 — | ||
| Blackstone Strategic Credit 2027 Term Fund BGB | $11.87 — |
+0.25
|
$530.17M — | $123.54K — | $11.82 — | $11.89 — | $530.17M — | 11.52 | $1.03 — | ||
| Invesco Quality Municipal Income Trust IQI | $9.99 — |
+1.01
|
$528.31M — | $176.39K — | $9.88 — | $10.01 — | $528.31M — | 0 | -$0.52 — | ||
| Western Asset Inflation-Linked Opportunities & Income Fund WIW | $8.59 — |
0
|
$525.57M — | $260.88K — | $8.58 — | $8.60 — | $525.57M — | 17.17 | $0.50 — | ||
| VGI Partners Global Investments Limited VG1.AX | A$1.95 1.29 USD |
-1.76
|
A$793.50M 525.18M USD | A$300.97K 199.2K USD | A$1.95 1.29 USD | A$1.99 1.32 USD | A$793.50M 525.18M USD | 0 | -A$0.04 -0.02 USD | ||
| Abrdn World Healthcare Fund THW | $12.93 — |
-0.92
|
$521.20M — | $186.77K — | $12.91 — | $13.05 — | $521.20M — | 9.64 | $1.34 — | ||
| PGIM Global High Yield Fund GHY | $12.39 — |
-0.32
|
$507.41M — | $184.67K — | $12.36 — | $12.45 — | $507.41M — | 9.04 | $1.37 — | ||
| CION Inv CION | $9.73 — |
+1.35
|
$506.80M — | $607.58K — | $9.57 — | $9.77 — | $506.80M — | 19.85 | $0.49 — | ||
| PIMCO Municipal Income Fund II PML | $7.60 — |
+1.2
|
$505.35M — | $1.82M — | $7.53 — | $7.64 — | $505.35M — | 0 | -$0.44 — | ||
| Invesco Senior Income Trust VVR | $3.27 — |
0
|
$503.33M — | $2.41M — | $3.27 — | $3.30 — | $503.33M — | 14.86 | $0.22 — | ||
| eQ Oyj EQV1V.HE | €11.05 12.08 USD |
+0.91
|
€457.55M 500.16M USD | €18.06K 19.74K USD | €10.85 11.86 USD | €11.05 12.08 USD | €457.55M 500.16M USD | 22.55 | €0.49 0.54 USD | ||
| Eaton Vance Municipal Bond Fund EIM | $9.94 — |
+0.31
|
$499.86M — | $12.46K — | $9.67 — | $9.74 — | $499.86M — | 0 | -$0.30 — | ||
| Deutsche Beteiligungs AG DBAN.DE | €25.80 27.49 USD |
+0.78
|
€456.69M 499.23M USD | €8.14K 8.89K USD | €25.05 27.38 USD | €25.35 27.71 USD | €456.69M 499.23M USD | 10.05 | €2.50 2.73 USD | ||
| Abrdn Life Sciences Investors HQL | $16.83 — |
-1.06
|
$498.15M — | $157.97K — | $16.67 — | $17.07 — | $498.15M — | 6.03 | $2.79 — | ||
| BlackRock Municipal Income Trust II BLE | $10.55 — |
+1.26
|
$497.79M — | $123.94K — | $10.33 — | $10.43 — | $497.79M — | 0 | -$0.76 — | ||
| Fiera Capital Corporation FSZ.TO | CA$6.21 4.57 USD |
+0.65
|
CA$656.80M 487.38M USD | CA$222.91K 165.41K USD | CA$6.11 4.53 USD | CA$6.19 4.59 USD | CA$656.80M 487.38M USD | 22.81 | CA$0.27 0.2 USD | ||
| Eaton Vance Tax-Advantaged Global Dividend Opportunities Fund ETO | $29.70 — |
+0.61
|
$486.73M — | $22.22K — | $29.52 — | $29.70 — | $486.73M — | 14.77 | $2.01 — | ||
| PGIM High Yield Bond Fund ISD | $14.56 — |
+1.04
|
$484.79M — | $69.43K — | $14.42 — | $14.56 — | $484.79M — | 10.55 | $1.38 — | ||
| Neuberger Energy Infrastructure and Income Fund NML | $8.51 — |
+0.71
|
$482.17M — | $178.77K — | $8.41 — | $8.51 — | $482.17M — | 6.25 | $1.36 — | ||
| Fiera Capital FRRPF | $4.50 — |
+0.45
|
$481.83M — | $100.00 — | $4.40 — | $4.40 — | $481.83M — | 22.50 | $0.20 — | ||
| Hearts and Minds Investments Limited HM1.AX | A$3.17 2.1 USD |
0
|
A$725.87M 480.42M USD | A$18.44K 12.21K USD | A$3.17 2.1 USD | A$3.19 2.11 USD | A$725.87M 480.42M USD | 6.74 | A$0.47 0.31 USD | ||
| BlackRock MuniYield Fund MYD | $10.45 — |
+1.26
|
$477.92M — | $201.41K — | $10.30 — | $10.46 — | $477.92M — | 0 | -$0.68 — | ||
| KKR Income Opportunities Fund KIO | $11.60 — |
-0.09
|
$475.43M — | $365.32K — | $11.57 — | $11.64 — | $475.43M — | 21.88 | $0.53 — | ||
| Calamos Global Dynamic Income Fund CHW | $7.42 — |
+0.27
|
$473.87M — | $101.21K — | $7.40 — | $7.43 — | $473.87M — | 12.57 | $0.59 — | ||
| Duff & Phelps Utility and Infrastructure Fund DPG | $12.85 — |
+0.47
|
$471.86M — | $78.45K — | $12.71 — | $12.90 — | $471.86M — | 5.58 | $2.30 — | ||
| Nuveen Taxable Municipal Income Fund NBB | $15.92 — |
+0.38
|
$467.96M — | $98.00K — | $15.80 — | $15.92 — | $467.96M — | 44.22 | $0.36 — | ||
| Gladstone Capital GLAD | $21.02 — |
+0.53
|
$466.10M — | $181.19K — | $20.21 — | $20.73 — | $466.10M — | 8.09 | $2.55 — | ||
| John Hancock Preferred Income Fund III HPS | $14.51 — |
+0.28
|
$465.93M — | $71.10K — | $14.45 — | $14.52 — | $465.93M — | 11.89 | $1.22 — | ||
| Ophir Asset Management Pty Ltd - Ophir High Conviction Fund OPH.AX | A$3.15 2.08 USD |
+0.32
|
A$701.18M 464.08M USD | A$18.25K 12.08K USD | A$3.14 2.08 USD | A$3.17 2.1 USD | A$701.18M 464.08M USD | 4.56 | A$0.69 0.46 USD | ||
| BlackRock TCP Capital TCPC | $5.62 — |
+1.3
|
$461.54M — | $330.71K — | $5.37 — | $5.49 — | $461.54M — | 0 | -$0.12 — | ||
| Mirrabooka Investments Limited MIR.AX | A$3.11 2.06 USD |
+0.32
|
A$694.27M 459.51M USD | A$36.84K 24.39K USD | A$3.10 2.05 USD | A$3.11 2.06 USD | A$694.27M 459.51M USD | 77.75 | A$0.04 0.03 USD | ||
| Diamond Hill Inv DHIL | $169.51 — |
-0.29
|
$458.57M — | $17.06K — | $169.49 — | $170.14 — | $458.57M — | 9.83 | $17.24 — | ||
| Voya Global Equity Dividend and Premium Opportunity Fund IGD | $5.79 — |
-0.17
|
$456.65M — | $207.15K — | $5.78 — | $5.82 — | $456.65M — | 8.27 | $0.70 — | ||
| Eaton Vance Tax-Managed Buy-Write Income Fund ETB | $15.37 — |
+0.39
|
$451.49M — | $96.64K — | $15.35 — | $15.43 — | $451.49M — | 10.59 | $1.45 — | ||
| Nuveen Pennsylvania Quality Municipal Income Fund NQP | $11.88 — |
+0.51
|
$442.15M — | $166.81K — | $11.80 — | $11.90 — | $442.15M — | 0 | -$0.92 — | ||
| First Trust Enhanced Equity Income Fund FFA | $21.92 — |
+0.92
|
$438.14M — | $37.57K — | $21.75 — | $21.92 — | $438.14M — | 9.05 | $2.42 — | ||
| BlackRock Municipal Income Trust BFK | $10.10 — |
+0.1
|
$435.04M — | $204.38K — | $9.81 — | $9.94 — | $435.04M — | 0 | -$0.43 — | ||
| John Hancock Preferred Income Fund HPI | $16.24 — |
+0.43
|
$434.70M — | $95.46K — | $16.15 — | $16.30 — | $434.70M — | 11.85 | $1.37 — | ||
| North American Financial 15 Split Corp. FFN.TO | CA$9.56 7.23 USD |
+0.95
|
CA$580.21M 430.55M USD | CA$446.26K 231.88K USD | CA$9.69 7.19 USD | CA$9.76 7.24 USD | CA$580.21M 430.55M USD | 3.52 | CA$2.76 2.05 USD | ||
| Flaherty & Crumrine Dynamic Preferred and Income Fund DFP | $20.85 — |
+0.24
|
$428.22M — | $52.18K — | $20.78 — | $20.88 — | $428.22M — | 10.07 | $2.07 — | ||
| Eaton Vance Municipal Income Trust EVN | $10.72 — |
+0.94
|
$425.23M — | $82.72K — | $10.62 — | $10.72 — | $425.23M — | 0 | -$0.03 — | ||
| EQT Holdings Limited EQT.AX | A$23.83 15.77 USD |
+0.55
|
A$638.43M 422.55M USD | A$11.18K 7.4K USD | A$23.45 15.52 USD | A$23.94 15.84 USD | A$638.43M 422.55M USD | 18.76 | A$1.27 0.84 USD | ||
| BlackRock Floating Rate Income Strategies Fund FRA | $11.72 — |
0
|
$415.30M — | $587.97K — | $11.62 — | $11.82 — | $415.30M — | 13.47 | $0.87 — | ||
| Metrics Income Opportunities Trust MOT.AX | A$1.88 1.24 USD |
-0.27
|
A$626.72M 414.8M USD | A$61.49K 40.7K USD | A$1.86 1.23 USD | A$1.88 1.24 USD | A$626.72M 414.8M USD | 10.44 | A$0.18 0.12 USD | ||
| BlackRock MuniAssets Fund MUA | $10.75 — |
+1.13
|
$413.64M — | $216.99K — | $10.63 — | $10.76 — | $413.64M — | 0 | -$0.48 — | ||
| Future Generation Global Limited FGG.AX | A$1.53 1.01 USD |
0
|
A$613.50M 406.05M USD | A$31.80K 21.04K USD | A$1.53 1.01 USD | A$1.54 1.02 USD | A$613.50M 406.05M USD | 7.64 | A$0.20 0.13 USD | ||
| Guggenheim Taxable Municipal Bond & Investment Grade Debt Trust GBAB | $15.05 — |
+0.27
|
$405.95M — | $139.37K — | $14.95 — | $15.11 — | $405.95M — | 16.35 | $0.92 — | ||
| Invesco Advantage Municipal Income Trust II VKI | $9.16 — |
+1.33
|
$405.87M — | $170.14K — | $9.01 — | $9.15 — | $405.87M — | 0 | -$0.51 — | ||
| BNY Mellon Strategic Municipals LEO | $6.35 — |
+1.6
|
$405.33M — | $386.00K — | $6.28 — | $6.35 — | $405.33M — | 0 | -$0.21 — | ||
| Wells Fargo Advantage Funds - Allspring Income Opportunities Fund EAD | $6.79 — |
0
|
$401.24M — | $341.27K — | $6.78 — | $6.80 — | $401.24M — | 11.31 | $0.60 — | ||
| Linc AB LINC.ST | SEK 69.70 6.8 USD |
-0.57
|
SEK 4.04B 394M USD | SEK 24.96K 2.44K USD | SEK 68.20 6.66 USD | SEK 70.30 6.86 USD | SEK 4.04B 394M USD | 0 | -SEK 1.30 -0.1 USD | ||
| BlackRock MuniVest Fund MVF | $6.85 — |
+0.37
|
$392.75M — | $203.16K — | $6.81 — | $6.89 — | $392.75M — | 0 | -$0.55 — | ||
| Hsi Malls Fundo De Investimento Imobiliario HSML11.SA | R$92.54 18.76 USD |
+1.14
|
R$1.93B 390.29M USD | R$45.45K 9.21K USD | R$91.53 18.55 USD | R$93.36 18.92 USD | R$1.93B 390.29M USD | 20.33 | R$4.55 0.92 USD | ||
| Source Capital SOR | $47.21 — |
-0.23
|
$388.36M — | $12.75K — | $47.02 — | $47.64 — | $388.36M — | 9.04 | $5.22 — | ||
| PennantPark Inv PNNT | $5.94 — |
+1.37
|
$387.86M — | $655.96K — | $5.84 — | $5.96 — | $387.86M — | 11.88 | $0.50 — | ||
| PIMCO Income Strategy Fund PFL | $8.46 — |
+0.2
|
$383.74M — | $310.10K — | $8.43 — | $8.46 — | $383.74M — | 7.68 | $1.10 — | ||
| Barings Corporate Investors MCI | $18.68 — |
-0.85
|
$382.42M — | $113.99K — | $18.00 — | $19.16 — | $382.42M — | 11.89 | $1.57 — | ||
| BlackRock MuniYield New York Quality Fund MYN | $9.94 — |
-0.1
|
$380.83M — | $97.01K — | $9.92 — | $9.99 — | $380.83M — | 0 | -$0.90 — | ||
| Australian Ethical Investment Limited AEF.AX | A$5.00 3.31 USD |
-0.4
|
A$569.15M 376.7M USD | A$12.11K 8.01K USD | A$4.99 3.3 USD | A$5.05 3.34 USD | A$569.15M 376.7M USD | 27.77 | A$0.18 0.12 USD | ||
| Nuveen Real Asset Income and Growth Fund JRI | $13.58 — |
+0.74
|
$372.32M — | $123.96K — | $13.50 — | $13.63 — | $372.32M — | 6.68 | $2.03 — | ||
| Western Asset High Income Fund II HIX | $4.13 — |
-0.48
|
$371.99M — | $687.36K — | $4.13 — | $4.19 — | $371.99M — | 11.47 | $0.36 — | ||
| CapMan Oyj CAPMAN.HE | €1.95 2.1 USD |
-0.82
|
€340.26M 371.95M USD | €87.67K 181.65K USD | €1.91 2.09 USD | €1.94 2.12 USD | €340.26M 371.95M USD | 27.48 | €0.07 0.08 USD | ||
| Saratoga Inv SAR | $23.03 — |
-0.56
|
$370.87M — | $86.53K — | $23.03 — | $23.24 — | $370.87M — | 9.92 | $2.32 — | ||
| Cohen & Steers Closed-End Opportunity Fund FOF | $13.56 — |
+0.05
|
$369.21M — | $44.51K — | $13.21 — | $13.43 — | $369.21M — | 7.20 | $1.85 — | ||
| Stellus Capital Inv SCM | $13.13 — |
+0.31
|
$364.74M — | $55.38K — | $12.48 — | $12.71 — | $364.74M — | 11.55 | $1.09 — | ||
| BlackRock Income Trust BKT | $11.05 — |
+0.18
|
$357.90M — | $262.99K — | $11.02 — | $11.10 — | $357.90M — | 12.41 | $0.89 — | ||
| Morgan Stanley Emerging Markets Domestic Debt Fund EDD | $5.53 — |
+0.73
|
$356.44M — | $392.16K — | $5.47 — | $5.54 — | $356.44M — | 9.21 | $0.60 — | ||
| Future Generation Australia Limited FGX.AX | A$1.31 0.86 USD |
0
|
A$536.27M 354.94M USD | A$73.67K 48.76K USD | A$1.30 0.86 USD | A$1.31 0.86 USD | A$536.27M 354.94M USD | 14.49 | A$0.09 0.06 USD | ||
| DWS Municipal Income Trust KTF | $9.05 — |
+0.48
|
$354.51M — | $159.69K — | $9.03 — | $9.09 — | $354.51M — | 0 | -$0.15 — | ||
| BlackRock Energy and Resources Trust BGR | $13.51 — |
+1.2
|
$352.73M — | $89.46K — | $13.38 — | $13.53 — | $352.73M — | 1351.00 | $0.01 — | ||
| Western Asset High Income Opportunity Fund HIO | $3.70 — |
-0.27
|
$351.87M — | $1.52M — | $3.68 — | $3.74 — | $351.87M — | 13.21 | $0.28 — | ||
| Nuveen New York Quality Municipal Income Fund NAN | $11.29 — |
+0.91
|
$350.48M — | $169.86K — | $11.16 — | $11.29 — | $350.48M — | 0 | -$0.75 — | ||
| John Hancock Preferred Income Fund II HPF | $16.15 — |
+0.37
|
$349.17M — | $31.84K — | $16.07 — | $16.23 — | $349.17M — | 11.87 | $1.36 — | ||
| ABC arbitrage SA ABCA.PA | €5.40 5.87 USD |
+1.51
|
€319.22M 348.95M USD | €27.19K 51.51K USD | €5.30 5.79 USD | €5.38 5.88 USD | €319.22M 348.95M USD | 8.94 | €0.60 0.66 USD | ||
| Virtus Convertible & Income Fund NCV | $15.35 — |
-0.32
|
$346.81M — | $108.48K — | $15.35 — | $15.49 — | $346.81M — | 1.32 | $11.58 — | ||
| Gelecek Varlik Yönetimi Anonim Sirketi GLCVY.IS | TRY 81.10 2.48 USD |
+2.14
|
TRY 11.03B 346.37M USD | TRY 1.10M 34.69K USD | TRY 74.35 2.33 USD | TRY 80.00 2.51 USD | TRY 11.03B 346.37M USD | 14.30 | TRY 5.52 0.17 USD | ||
| Putnam Premier Income Trust PPT | $3.57 — |
+0.56
|
$341.18M — | $231.75K — | $3.55 — | $3.57 — | $341.18M — | 13.73 | $0.26 — | ||
| abrdn Global Premier Properties Fund AWP | $3.91 — |
+0.38
|
$340.64M — | $302.60K — | $3.90 — | $3.93 — | $340.64M — | 7.55 | $0.52 — | ||
| BlackRock MuniYield Michigan Quality Fund MIY | $12.19 — |
-0.59
|
$340.34M — | $157.05K — | $11.57 — | $11.85 — | $340.34M — | 0 | -$0.71 — | ||
| BlackRock Floating Rate Income Trust BGT | $11.32 — |
-0.09
|
$337.62M — | $246.47K — | $11.31 — | $11.38 — | $337.62M — | 13.01 | $0.87 — | ||
| Ayyan Investment Company 2140.SR | SAR 12.37 3.31 USD |
+0.7
|
SAR 1.25B 333.44M USD | SAR 189.53K 443.89K USD | SAR 12.33 3.29 USD | SAR 13.36 3.56 USD | SAR 1.25B 333.44M USD | 13.64 | SAR 0.91 0.24 USD | ||
| Highland Funds I - Highland Opportunities and Income Fund HFRO | $6.01 — |
+2.04
|
$332.66M — | $323.84K — | $5.93 — | $6.01 — | $332.66M — | 0 | -$0.68 — | ||
| Liberty All-Star Growth Fund ASG | $5.35 — |
+0.19
|
$331.48M — | $297.62K — | $5.33 — | $5.36 — | $331.48M — | 9.55 | $0.56 — | ||
| Eaton Vance Senior Floating-Rate Trust EFR | $11.10 — |
-0.18
|
$327.71M — | $305.51K — | $11.08 — | $11.15 — | $327.71M — | 19.13 | $0.58 — | ||
| Nuveen S&P 500 Dynamic Overwrite Fund SPXX | $18.04 — |
+0.33
|
$324.30M — | $84.10K — | $17.97 — | $18.14 — | $324.30M — | 10.61 | $1.70 — | ||
| BlackRock California Municipal Income Trust BFZ | $10.78 — |
+0.19
|
$324.09M — | $257.37K — | $10.74 — | $10.83 — | $324.09M — | 0 | -$0.79 — | ||
| FRMO FRMO | $7.64 — |
+1.19
|
$323.57M — | $7.33K — | $7.30 — | $7.52 — | $323.57M — | 61.25 | $0.12 — | ||
| The Gabelli Utility Trust GUT-PC | $22.34 — |
+0.6
|
$323.12M — | $12.16K — | $22.10 — | $22.34 — | $323.12M — | 37.16 | $0.60 — | ||
| RiverNorth Opportunities Fund RIV | $11.80 — |
+0.43
|
$322.98M — | $80.25K — | $11.76 — | $11.82 — | $322.98M — | 7.23 | $1.63 — | ||
| The Taiwan Fund TWN | $52.64 — |
-0.49
|
$321.30M — | $43.72K — | $51.37 — | $52.89 — | $321.30M — | 4.41 | $11.92 — | ||
| Ares Dynamic Credit Allocation Fund ARDC | $13.31 — |
-0.3
|
$317.75M — | $221.19K — | $13.28 — | $13.37 — | $317.75M — | 10.64 | $1.25 — | ||
| Perpetual Equity Investment Company Limited PIC.AX | A$1.25 0.83 USD |
+0.16
|
A$479.01M 317.04M USD | A$19.14K 12.67K USD | A$1.24 0.82 USD | A$1.25 0.83 USD | A$479.01M 317.04M USD | 20.78 | A$0.06 0.04 USD | ||
| Putnam Municipal Opportunities Trust PMO | $10.66 — |
+1.9
|
$316.68M — | $121.54K — | $10.51 — | $10.72 — | $316.68M — | 267.50 | $0.04 — | ||
| 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 — | ||
| L1 Global Long Short Fund Limited PMC.AX | A$1.77 1.17 USD |
0
|
A$467.07M 309.13M USD | A$730.26K 483.33K USD | A$1.71 1.13 USD | A$1.77 1.17 USD | A$467.07M 309.13M USD | 58.83 | A$0.03 0.02 USD | ||
| 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 — | ||
|
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