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Page de résultat 19 pour Bourse : NYSE Marché boursier - Cotations et cours

Liste de toutes les actions et titres avec cours, capitalisations boursières, ratios P/E et BPA
Tous les pays
Toutes les industries
Nom Nom Prix Prix 24h%
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Cap. du marché Cap. du marché VOL Volume 24h bas 24h de haut Cap. du marché PER BPA
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
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Gold Royalty  GROY $2.21
-0.45
$376.78M $1.13M $2.17 $2.26 $376.78M 0 -$0.02
Saratoga Inv  SAR $24.33
+0.12
$373.83M $77.38K $24.11 $24.39 $373.83M 12.04 $2.02
Western Asset High Income Opportunity Fund  HIO $3.92
-0.38
$373.74M $331.39K $3.91 $3.93 $373.74M 15.05 $0.26
PIMCO Income Strategy Fund  PFL $8.25
-0.36
$371.36M $52.03K $8.25 $8.28 $371.36M 8.33 $0.99
Steel Partners Holdings L.P.  SPLP-PA $23.05
-4.44
$369.78M $398.83K $23.05 $24.17 $369.78M 6.46 $3.57
Cooper-Standard  CPS $20.98
-2.55
$368.16M $238.72K $20.95 $21.79 $368.16M 0 -$2.58
Abrdn Life Sciences Investors  HQL $12.61
+0.08
$364.08M $107.27K $12.55 $12.72 $364.08M 0 -$0.48
BNY Mellon Strategic Municipals  LEO $5.78
-0.69
$362.53M $277.69K $5.78 $5.82 $362.53M 144.50 $0.04
BlackRock MuniYield New York Quality Fund  MYN $9.46
+0.32
$362.44M $94.44K $9.42 $9.5 $362.44M 315.33 $0.03
Invesco Advantage Municipal Income Trust II  VKI $8.14
-0.61
$361.46M $177.88K $8.12 $8.22 $361.46M 24.66 $0.33
Galiano Gold  GAU $1.38
-1.43
$358.52M $802.65K $1.38 $1.43 $358.52M 0 -$0.07
Chatham Lodging Trust  CLDT $7.06
+0.86
$358.46M $230.67K $6.95 $7.08 $358.46M 117.66 $0.06
Nuveen Real Asset Income and Growth Fund  JRI $13.06
+0.54
$358.06M $240.71K $12.91 $13.14 $358.06M 13.89 $0.94
City Office REIT, Inc.  CIO-PA $18.87
+0.43
$356.27M $2.16K $18.74 $18.9 $356.27M 1.84 $10.22
Oil States  OIS $5.62
-1.92
$354.51M $923.32K $5.56 $5.81 $354.51M 70.25 $0.08
Xperi  XPER $7.75
+0.13
$354.08M $253.41K $7.71 $7.83 $354.08M 0 -$0.43
BlackRock Energy and Resources Trust  BGR $13.44
+0.45
$350.9M $45.52K $13.39 $13.45 $350.9M 28.00 $0.48
Source Capital  SOR $42.79
+1.02
$350.87M $6.49K $42.79 $43.26 $350.87M 8.85 $4.83
Putnam Premier Income Trust  PPT $3.63
-0.55
$348.82M $210K $3.63 $3.65 $348.82M 16.50 $0.22
B&G Foods  BGS $4.29
-1.83
$348.72M $2.21M $4.28 $4.43 $348.72M 0 -$2.61
Orion  ORN $8.81
+1.15
$348.47M $221.75K $8.62 $8.83 $348.47M 88.10 $0.1
W&T Offshore  WTI $2.36
+5.83
$348.46M $8.38M $2.27 $2.49 $348.46M 0 -$0.76
Nuveen New York Quality Municipal Income Fund  NAN $11.28
-0.13
$348.3M $63.96K $11.28 $11.34 $348.3M 13.27 $0.85
Vishay Precision  VPG $26.24
+2.18
$347.87M $129.64K $25.64 $26.76 $347.87M 114.08 $0.23
DWS Municipal Income Trust  KTF $8.85
-0.34
$347.85M $100.68K $8.85 $8.9 $347.85M 9.94 $0.89
Eaton Vance Senior Floating-Rate Trust  EFR $11.8
-0.08
$346.49M $93.23K $11.75 $11.83 $346.49M 7.61 $1.55
Zhihu  ZH $3.71
-1.07
$345.92M $340.21K $3.61 $3.78 $345.92M 0 -$0.03
United States Antimony  UAMY $2.9
+4.32
$345.39M $3M $2.71 $2.94 $345.39M 0 -$0.01
Natural Gas Services  NGS $27.4
+2.78
$343.32M $160.67K $26.27 $27.59 $343.32M 19.85 $1.38
Emergent BioSolutions  EBS $6.31
+1.45
$342.49M $877.55K $6.04 $6.47 $342.49M 0 -$2.62
Ooma  OOMA $12.29
-0.89
$341.75M $265.74K $12.24 $12.66 $341.75M 0 -$0.19
abrdn Global Premier Properties Fund  AWP $3.95
+0.51
$341.4M $325.34K $3.93 $3.96 $341.4M 3.52 $1.12
Ares Dynamic Credit Allocation Fund  ARDC $14.27
+0.07
$340.66M $61.67K $14.27 $14.34 $340.66M 8.59 $1.66
Maui Land & Pineapple Company  MLP $17.25
+1.29
$340.54M $11.46K $17.04 $17.53 $340.54M 0 -$0.76
Cohen & Steers Closed-End Opportunity Fund  FOF $12.3
+0.12
$340.04M $20K $12.26 $12.35 $340.04M 5.61 $2.19
Colombier  CLBR $16.18
+1.13
$340M $542.97K $15.56 $16.25 $340M 85.15 $0.19
Eagle Point Income Company  EIC $13.38
+0.22
$339.98M $227.25K $13.32 $13.43 $339.98M 4.74 $2.82
Movado  MOV $15.38
+0.65
$339.78M $152.7K $15.22 $15.44 $339.78M 19.71 $0.78
SES AI Corporation  SES $0.92
+0.05
$338.02M $6M $0.9 $0.9499 $338.02M 0 -$0.3
John Hancock Preferred Income Fund II  HPF $15.62
+0.32
$336.79M $22.45K $15.59 $15.68 $336.79M 6.76 $2.31
WideOpenWest  WOW $3.92
0
$335.07M $183K $3.89 $3.98 $335.07M 0 -$0.71
New Found Gold  NFGC $1.43
-0.69
$335.04M $472.08K $1.42 $1.46 $335.04M 0 -$0.17
Saba Capital Income & Opportunities Fund  BRW $7.85
+0.51
$333.86M $58.72K $7.82 $7.9 $333.86M 8.92 $0.88
Metalla Royalty & Streaming  MTA $3.56
-0.28
$331.89M $365.67K $3.53 $3.59 $331.89M 0 -$0.05
Betterware de México, S.A.P.I. de C.V  BWMX $8.81
+6.79
$328.76M $30.33K $8.29 $8.81 $328.76M 0 -$0.21
Morgan Stanley Emerging Markets Domestic Debt Fund  EDD $5.09
+1.6
$328.08M $354.04K $5 $5.12 $328.08M 8.77 $0.58
Haymaker Acquisition Corp. 4  HYAC $11.08
+0.09
$327.09M $8.73K $11.07 $11.08 $327.09M 30.77 $0.36
Mayville Engineering Company  MEC $15.92
+1.47
$325.74M $220.74K $15.49 $16.3 $325.74M 14.47 $1.1
Methode Electronics  MEI $9.1
+0.11
$324.79M $271K $9.04 $9.32 $324.79M 0 -$2.59
NL Industries  NL $6.61
-0.3
$323.86M $13.88K $6.6 $6.84 $323.86M 5.28 $1.25
BlackRock California Municipal Income Trust  BFZ $10.77
+0.33
$323.78M $51.73K $10.72 $10.8 $323.78M 82.84 $0.13
ADC Therapeutics SA  ADCT $3.03
-7.06
$323.49M $846.55K $3.02 $3.26 $323.49M 0 -$1.32
Eaton Vance Floating-Rate Income Trust  EFT $12.16
-0.41
$322.89M $72.38K $12.15 $12.19 $322.89M 8.44 $1.44
Haverty Furniture Companies  HVT $20.25
+1.3
$322.87M $94.43K $20.05 $20.47 $322.87M 15.82 $1.28
Liberty All-Star Growth Fund  ASG $5.28
+0.96
$322.44M $204.16K $5.22 $5.31 $322.44M 6.36 $0.83
Ambac Financial  AMBC $6.92
+2.22
$321.28M $738.89K $6.67 $6.93 $321.28M 0 -$0.63
BlackRock MuniYield Michigan Quality Fund  MIY $11.04
-0.32
$320.64M $34.81K $11.03 $11.1 $320.64M 68.96 $0.16
GrafTech  EAF $1.23
-0.81
$320.06M $931.38K $1.22 $1.33 $320.06M 0 -$0.54
Angel Oak Financial Strategies Income Term Trust  FINS $12.7
-0.55
$320.05M $247.79K $12.56 $12.84 $320.05M 8.08 $1.57
Cohen & Steers Total Return Realty Fund  RFI $11.92
+0.76
$318.09M $46.2K $11.85 $12.07 $318.09M 18.62 $0.64
ChargePoint  CHPT $0.6899
+0.42
$316.97M $17.11M $0.67 $0.7299 $316.97M 0 -$0.59
PIMCO Strategic Income Fund  RCS $6.78
+0.44
$316.31M $52.07K $6.75 $6.84 $316.31M 10.43 $0.65
Spire Global, Inc.  SPIR $10.14
+0.3
$315.12M $486.66K $9.91 $10.25 $315.12M 0 -$3.86
Mesabi Trust  MSB $24
+0.71
$314.88M $16.63K $23.84 $24.32 $314.88M 3.34 $7.17
Luxfer  LXFR $11.56
+0.09
$314.86M $105.49K $11.46 $11.72 $314.86M 14.82 $0.78
BlackRock Floating Rate Income Trust  BGT $12.3
-0.24
$314.68M $153.72K $12.27 $12.45 $314.68M 11.08 $1.11
San Juan Basin Royalty Trust  SJT $6.58
-1.35
$310.88M $319.78K $6.54 $6.83 $310.88M 329.00 $0.02
Virtus Convertible & Income Fund II  NCZ-PA $20.62
-0.29
$310.88M $2.15K $20.62 $20.75 $310.88M 15.68 $1.32
ACCO Brands  ACCO $3.39
-1.45
$309.94M $1.07M $3.38 $3.48 $309.94M 0 -$1.13
NexPoint Real Estate Finance  NREF $13.66
+0.89
$308.07M $52.85K $13.44 $13.92 $308.07M 5.31 $2.57
RiverNorth Flexible Municipal Income Fund II  RFMZ $12.59
-0.24
$307.32M $73.29K $12.55 $12.62 $307.32M 13.39 $0.94
Virtus Convertible & Income Fund  NCV $13.51
-0.52
$306.82M $59.41K $13.45 $13.62 $306.82M 1.16 $11.58
Nuveen S&P 500 Dynamic Overwrite Fund  SPXX $17.02
+0.12
$305.68M $19.56K $16.96 $17.12 $305.68M 5.05 $3.37
JELD-WEN Holding  JELD $3.58
+0.85
$305.37M $1.46M $3.52 $3.67 $305.37M 0 -$4.16
Unisys  UIS $4.28
-2.06
$304.17M $515.47K $4.26 $4.4 $304.17M 0 -$1.03
Barings Global Short Duration High Yield Fund  BGH $15.15
+0.13
$303.97M $68.6K $15.1 $15.15 $303.97M 7.21 $2.1
MFS Intermediate Income Trust  MIN $2.67
+0.75
$303.84M $154.96K $2.65 $2.68 $303.84M 11.12 $0.24
Civeo  CVEO $22.57
+2.13
$303.64M $99.47K $22.02 $22.79 $303.64M 0 -$1.56
Blue Ridge Bankshares  BRBS $3.32
+0.91
$302.71M $203.1K $3.29 $3.37 $302.71M 0 -$0.17
Ranpak Holdings Corp.  PACK $3.53
-1.4
$301.55M $328.16K $3.5 $3.62 $301.55M 0 -$0.29
Tredegar  TG $8.65
+0.7
$301.05M $60.8K $8.51 $8.78 $301.05M 0 -$0.03
BRT Apartments  BRT $15.92
+0.25
$300.93M $19.92K $15.68 $16.15 $300.93M 0 -$0.47
Franklin Covey  FC $22.26
-2.58
$296.77M $66.85K $22.04 $23.06 $296.77M 17.12 $1.3
DoubleLine Opportunistic Credit Fund  DBL $15.53
-0.26
$296M $68.62K $15.45 $15.56 $296M 10.35 $1.5
CompX  CIX $23.82
-0.71
$295.52M $8.56K $22.81 $23.92 $295.52M 16.42 $1.45
Nerdy  NRDY $1.61
+0.62
$294.66M $334.04K $1.57 $1.64 $294.66M 0 -$0.4
BlackRock MuniHoldings New York Quality Fund  MHN $9.72
-0.21
$294.55M $20.19K $9.72 $9.77 $294.55M 486.00 $0.02
AllianceBernstein National Municipal Income Fund, Inc.  AFB $10.22
0
$293.77M $95.58K $10.2 $10.24 $293.77M 4.79 $2.13
Nuveen Global High Income Fund  JGH $12.58
-0.24
$292.27M $56.28K $12.55 $12.64 $292.27M 7.35 $1.71
Neuberger Berman Municipal Fund  NBH $9.82
-0.2
$291.44M $215.49K $9.77 $9.84 $291.44M 5.67 $1.73
NACCO Industries  NC $39.14
+0.1
$290.99M $5.34K $36.58 $39.44 $290.99M 8.45 $4.63
Putnam Municipal Opportunities Trust  PMO $9.79
-0.31
$290.64M $51.42K $9.79 $9.83 $290.64M 4.57 $2.14
Ranger Energy Services  RNGR $12.84
+0.86
$288.88M $226.9K $12.65 $13.05 $288.88M 14.42 $0.89
Highland Funds I - Highland Opportunities and Income Fund  HFRO $5.22
+0.77
$288.81M $166.57K $5.16 $5.22 $288.81M 0 -$0.6
Marine Products  MPX $8.22
+0.61
$287.33M $23.9K $8.01 $8.24 $287.33M 19.11 $0.43
Nuveen Preferred Securities & Income Opportunities Fund  JPI $20.27
+0.45
$285.8M $21.34K $20.07 $20.43 $285.8M 9.65 $2.1
Virtus Global Dividend & Income Fund  ZTR $6.01
-0.33
$283.94M $184.24K $5.97 $6.04 $283.94M 10.65 $0.56
OneConnect Financial Technology  OCFT $7.12
+1.57
$280.2M $31.88K $7.01 $7.1 $280.2M 0 -$2.55
Nuveen California Municipal Value Fund  NCA $8.45
0
$279.76M $53.3K $8.41 $8.48 $279.76M 15.94 $0.53
Radiant Logistics  RLGT $5.89
+0.34
$277.67M $138.16K $5.86 $5.96 $277.67M 16.82 $0.35
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