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Pagina di risultati 21 per Borsa: NYSE Mercato azionario - Quotazioni e prezzi

Elenco di tutte le azioni e i titoli con prezzi, capitalizzazione, PE ed EPS
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Nome Nome Prezzo Prezzo 24o%
7g grafico
24o% & 7g
Cap. Mercato Cap. di mercato VOL Volume Min 24h Max 24h Cap. di mercato Rapporto P/E EPS
Nome Nome Prezzo Prezzo 24o%
7g grafico
24o% & 7g
Cap. Mercato Cap. di mercato VOL Volume Min 24h Max 24h Cap. di mercato Rapporto P/E EPS
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Nuveen Virginia Quality Municipal Income Fund  NPV $11.17
-0.62
$203.8M $44.12K $11.17 $11.25 $203.8M 10.84 $1.03
Zevia PBC  ZVIA $3.15
+7.14
$203.27M $1.44M $2.89 $3.27 $203.27M 0 -$0.32
Barings Participation Investors  MPV $18.91
0
$200.87M $16.89K $18.55 $19 $200.87M 11.67 $1.62
3D Systems  DDD $1.47
-21.39
$200.53M $32.89M $1.46 $1.62 $200.53M 0 -$2.1
Idaho Strategic Resources  IDR $14.26
-0.42
$200.44M $245.27K $14.26 $14.79 $200.44M 23.00 $0.62
RiverNorth/DoubleLine Strategic Opportunity Fund  OPP $8.37
+0.36
$199.29M $46.77K $8.35 $8.4 $199.29M 8.54 $0.98
Braemar Hotels & Resorts  BHR $2.59
+2.78
$199.24M $240.45K $2.56 $2.7 $199.24M 0 -$0.86
Alta Equipment  ALTG $5.97
-2.45
$198.15M $197.56K $5.96 $6.27 $198.15M 0 -$2.23
Eaton Vance Municipal Income 2028 Term Trust  ETX $18.12
-0.44
$197.3M $31.33K $18.1 $18.17 $197.3M 29.70 $0.61
Pioneer Municipal High Income Advantage Fund  MAV $8.25
-0.33
$197.29M $68.12K $8.25 $8.33 $197.29M 103.12 $0.08
Western Asset Global High Income Fund  EHI $6.44
-0.46
$195.13M $51.72K $6.44 $6.48 $195.13M 7.07 $0.91
Stereotaxis  STXS $2.26
-0.44
$194.36M $191.94K $2.21 $2.32 $194.36M 0 -$0.31
Western Asset Inflation-Linked Income Fund  WIA $8.32
+0.6
$194.04M $24.89K $8.25 $8.34 $194.04M 15.40 $0.54
Empire Petroleum  EP $5.75
+2.13
$193.89M $11.78K $5.53 $5.75 $193.89M 0 -$0.51
Diana Shipping  DSX $1.66
-1.19
$192.18M $317.92K $1.65 $1.68 $192.18M 33.19 $0.05
BK  BKTI $51.65
+9.99
$189.74M $141.21K $49 $54 $189.74M 19.78 $2.61
International Tower Hill Mines  THM $0.9
-0.8
$188.35M $186.46K $0.88 $0.92 $188.35M 0 -$0.02
The New Germany Fund  GF $11.61
-0.39
$187.85M $11.31K $11.61 $11.8 $187.85M 9.43 $1.23
Franklin Universal Trust  FT $7.43
-0.54
$186.73M $21.85K $7.43 $7.46 $186.73M 5.42 $1.37
BlackRock Investment Quality Municipal Trust  BKN $10.84
+0.65
$186.51M $60.42K $10.75 $10.85 $186.51M 51.61 $0.21
FutureFuel  FF $4.21
-3.44
$184.41M $438.85K $4.13 $4.35 $184.41M 0 -$0.15
Blackstone Senior Floating Rate 2027 Term Fund  BSL $14.16
-0.08
$184.28M $20.94K $14.14 $14.18 $184.28M 9.90 $1.43
BNY Mellon Municipal Bond Infrastructure Fund  DMB $9.97
-0.3
$183.51M $79.17K $9.97 $10.03 $183.51M 24.31 $0.41
BNY Mellon High Yield Strategies Fund  DHF $2.51
-0.79
$182.57M $766.53K $2.51 $2.53 $182.57M 11.40 $0.22
NXG Cushing Midstream Energy Fund  SRV $41.69
-1.56
$180.14M $28.85K $41.5 $42.4 $180.14M 2.75 $15.13
NexPoint Diversified Real Estate Trust  NXDT $3.92
+1.82
$179.93M $38.44K $3.85 $3.98 $179.93M 0 -$1.49
Ring Energy  REI $0.8599
-3.35
$177.94M $4.84M $0.8499 $0.93 $177.94M 2.39 $0.36
Invesco Bond Fund  VBF $15.49
-0.13
$176.97M $12.87K $15.44 $15.57 $176.97M 13.35 $1.16
Invesco Pennsylvania Value Municipal Income Trust  VPV $9.87
0
$176.4M $35.39K $9.84 $9.87 $176.4M 17.31 $0.57
Franklin Street Properties  FSP $1.7
+0.59
$176.06M $627.01K $1.68 $1.72 $176.06M 0 -$0.65
Flaherty & Crumrine Total Return Fund  FLC $16.79
-0.18
$175.57M $16.88K $16.77 $16.85 $175.57M 5.07 $3.31
Stoneridge  SRI $6.26
+2.45
$174.32M $283.85K $6.12 $6.5 $174.32M 0 -$0.64
Electromed  ELMD $20.74
+3.34
$173.93M $46.55K $20.01 $20.9 $173.93M 26.25 $0.79
Voya Infrastructure, Industrials and Materials Fund  IDE $11.38
-0.18
$172.48M $28.83K $11.37 $11.48 $172.48M 11.49 $0.99
Evolution Petroleum  EPM $5.02
+0.2
$172.22M $103.23K $4.98 $5.07 $172.22M 0 -$0.04
SmartRent, Inc.  SMRT $0.92
+1.53
$172.18M $2.04M $0.88 $0.9599 $172.18M 0 -$0.34
Cybin  CYBN $7.9
+2.46
$171.97M $212.26K $7.5 $8.08 $171.97M 0 -$3.65
PIMCO California Municipal Income Fund II  PCK $5.31
-0.19
$171.26M $94.39K $5.31 $5.34 $171.26M 0 -$0.02
Citizens  CIA $3.4
+2.1
$170.51M $241.01K $3.32 $3.47 $170.51M 20.00 $0.17
51Talk Online Education  COE $29
+2.76
$169.92M $14.28K $28.26 $29.87 $169.92M 0 -$0.6
Eaton Vance New York Municipal Bond Fund  ENX $9.18
-0.11
$164.88M $9.06K $9.18 $9.22 $164.88M 0 -$0.18
PHX Minerals  PHX $4.34
0
$164.58M $1.07M $4.34 $4.35 $164.58M 22.84 $0.19
Platinum Group Metals  PLG $1.55
+1.31
$164.07M $855.58K $1.53 $1.57 $164.07M 0 -$0.05
System1  SST $6.13
+18.34
$163.57M $140.25K $5.1 $6.58 $163.57M 0 -$11.19
Clipper Realty  CLPR $3.85
+0.79
$163.49M $49.06K $3.84 $3.91 $163.49M 0 -$1.02
Ecofin Sustainable and Social Impact Term Fund  TEAF $12
+0.93
$161.89M $67.82K $11.82 $12.01 $161.89M 13.04 $0.92
Seritage Growth Properties  SRG $2.86
-0.69
$161.09M $149.19K $2.84 $3.06 $161.09M 0 -$2.88
Special Opportunities Fund  SPE $15.1
0
$160.49M $11.29K $15 $15.13 $160.49M 4.42 $3.41
Putnam Master Intermediate Income Trust  PIM $3.32
0
$159.97M $38.14K $3.32 $3.34 $159.97M 13.83 $0.24
PIMCO California Municipal Income Fund  PCQ $8.4
-0.12
$159.44M $66.09K $8.35 $8.45 $159.44M 0 -$0.02
Morgan Stanley Emerging Markets Debt Fund  MSD $7.82
-0.13
$157.86M $23.03K $7.8 $7.84 $157.86M 9.64 $0.81
SEACOR Marine  SMHI $5.84
-2.67
$156.82M $91.53K $5.73 $6.07 $156.82M 0 -$2.54
Credit Suisse Asset Management Income Fund  CIK $2.86
+0.18
$156.49M $221.04K $2.85 $2.86 $156.49M 10.19 $0.28
Tecogen  TGEN $6.18
+4.75
$156.16M $381.53K $5.68 $6.18 $156.16M 0 -$0.18
Medifast  MED $14.17
+5.04
$155.74M $412.49K $13.56 $14.81 $155.74M 0 -$0.64
Blackstone Long-Short Credit Income Fund  BGX $12.2
-0.25
$155.04M $54.65K $12.18 $12.24 $155.04M 9.45 $1.29
Neuberger Berman Real Estate Securities Income Fund  NRO $3.19
+0.63
$155.02M $165.53K $3.17 $3.21 $155.02M 2.55 $1.25
Envela  ELA $5.95
+5.87
$154.67M $24.3K $5.73 $6.11 $154.67M 20.51 $0.29
Chegg  CHGG $1.44
-1.37
$153.46M $2.31M $1.41 $1.51 $153.46M 0 -$8.26
Voya Global Advantage and Premium Opportunity Fund  IGA $10
-0.2
$153.41M $32.66K $9.97 $10.02 $153.41M 6.62 $1.51
Virtus Stone Harbor Emerging Markets Income Fund  EDF $4.97
+0.61
$151.98M $59.38K $4.93 $4.98 $151.98M 4.10 $1.21
Nuveen New York Municipal Value Fund  NNY $8.04
-0.37
$151.84M $58.36K $8.04 $8.11 $151.84M 15.76 $0.51
Westwood  WHG $16.11
+2.22
$151.11M $13.26K $15.66 $16.15 $151.11M 402.75 $0.04
Western Asset Municipal High Income Fund  MHF $6.94
+0.43
$150.3M $81.47K $6.93 $6.99 $150.3M 8.26 $0.84
Cedar Realty Trust, Inc.  CDR-PC $14.77
+0.02
$150.07M $527 $14.77 $14.77 $150.07M 0 -$4.39
Amplify Energy  AMPY $3.71
+0.82
$149.65M $1.04M $3.61 $3.83 $149.65M 9.27 $0.4
Invesco Trust for Investment Grade New York Municipals  VTN $10.14
+0.6
$148.13M $12.28K $10.12 $10.17 $148.13M 34.96 $0.29
GoldMining  GLDG $0.75
-1.94
$147.43M $838.5K $0.75 $0.77 $147.43M 0 -$0.1
Acme United  ACU $38.5
+3.52
$145.94M $17.68K $37.18 $38.78 $145.94M 15.58 $2.47
Eaton Vance Short Duration Diversified Income Fund  EVG $10.82
-0.45
$145.5M $13.87K $10.79 $10.89 $145.5M 6.63 $1.63
Modiv Industrial  MDV $14.37
-0.83
$145.41M $40.3K $14.37 $14.6 $145.41M 0 -$0.09
BNY Mellon Municipal Income  DMF $6.93
-0.14
$143.85M $311.59K $6.93 $6.97 $143.85M 0 -$0.08
The Gabelli Healthcare & Wellness Trust  GRX $9.27
-0.86
$143.67M $46.02K $9.26 $9.39 $143.67M 463.50 $0.02
Core Molding  CMT $16.62
+1.03
$143.06M $30.28K $16.32 $16.65 $143.06M 12.49 $1.33
Flaherty & Crumrine Preferred Income Fund  PFD $11.11
-0.14
$142.84M $21.47K $11.09 $11.15 $142.84M 5.07 $2.19
Energy Vault  NRGV $0.89
-0.24
$139.19M $763.7K $0.8599 $0.92 $139.19M 0 -$0.91
BlackRock MuniYield Pennsylvania Quality Fund  MPA $10.73
+0.19
$138.95M $98.37K $10.71 $10.75 $138.95M 28.99 $0.37
Magnachip Semiconductor  MX $3.85
0
$138.84M $151.35K $3.85 $3.92 $138.84M 0 -$1.21
PIMCO California Municipal Income Fund III  PZC $6.14
-0.16
$138.08M $92.6K $6.12 $6.18 $138.08M 0 $0
BARK, Inc.  BARK $0.81
-1.12
$137.58M $1.03M $0.81 $0.8399 $137.58M 0 -$0.19
Western Asset Mortgage Opportunity Fund  DMO $11.98
+0.5
$136.41M $40.97K $11.93 $11.98 $136.41M 7.93 $1.51
Legg Mason BW Global Income Opportunities Fund  BWG $8.12
+0.37
$136.35M $100.72K $8.09 $8.16 $136.35M 4.58 $1.77
Wolfspeed  WOLF $0.8699
-30.14
$135.89M $78.33M $0.8299 $1.53 $135.89M 0 -$8.26
Ellsworth Growth and Income Fund  ECF $9.88
-0.7
$135.13M $13.73K $9.86 $9.92 $135.13M 5.25 $1.88
Nuveen Arizona Quality Municipal Income Fund  NAZ $11.63
-0.6
$134.88M $3.9K $11.63 $11.76 $134.88M 15.71 $0.74
Trinseo  TSE $3.77
+0.53
$134.4M $228.04K $3.68 $3.85 $134.4M 0 -$9.94
Dynagas LNG Partners LP  DLNG $3.63
-1.09
$133.01M $32.65K $3.63 $3.7 $133.01M 3.29 $1.1
ACRES Commercial Realty  ACR $17.84
+0.73
$131.91M $44.23K $17.66 $18.06 $131.91M 63.71 $0.28
The Gabelli Multimedia Trust  GGT $3.9
0
$130.1M $148K $3.88 $3.92 $130.1M 7.50 $0.52
InfuSystem  INFU $6.19
+0.49
$129.84M $161.28K $6.09 $6.28 $129.84M 41.26 $0.15
XAI Madison Equity Premium Income Fund  MCN $6.11
-0.97
$129.02M $40.89K $6.11 $6.17 $129.02M 24.44 $0.25
John Hancock Income Securities Trust  JHS $11.07
-0.09
$128.93M $13.86K $11.07 $11.14 $128.93M 6.79 $1.63
Lument Finance Trust  LFT $2.46
+0.41
$128.72M $123.02K $2.46 $2.55 $128.72M 12.30 $0.2
The China Fund  CHN $13.12
-1.2
$127.69M $6.17K $13.12 $13.23 $127.69M 4.75 $2.76
Western Asset Premier Bond Fund  WEA $10.75
-0.19
$127.56M $20.08K $10.78 $10.84 $127.56M 20.28 $0.53
Clough Global Equity Fund  GLQ $6.77
+0.45
$126.86M $16.25K $6.77 $6.81 $126.86M 3.19 $2.12
John Hancock Diversified Income Fund  HEQ $10.44
-0.1
$126.26M $13.79K $10.42 $10.45 $126.26M 10.23 $1.02
Cheetah Mobile  CMCM $4.11
+0.49
$126.14M $9.85K $4.07 $4.15 $126.14M 0 -$2.9
DHI  DHX $2.56
+8.02
$124.8M $78.7K $2.41 $2.61 $124.8M 0 -$0.17
Skillsoft  SKIL $14.5
-5.91
$124.31M $37.43K $14.28 $15.93 $124.31M 0 -$16.01
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