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Pagina di risultati 4 per Industria: Gestione del patrimonio Mercato azionario - Quotazioni e prezzi

Elenco di tutte le azioni e i titoli con prezzi, capitalizzazione, PE ed EPS
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Gestione del patrimonio (1966)
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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Eaton Vance Municipal Bond Fund  EIM $9.57
-0.31
$517.51M $94.9K $9.57 $9.63 $517.51M 0 -$0.07
KKR Income Opportunities Fund  KIO $12.59
+0.56
$514.56M $384.16K $12.52 $12.63 $514.56M 30.70 $0.41
Columbia Seligman Premium Technology Growth Fund  STK $31.02
+0.55
$513.79M $31.31K $30.87 $31.1 $513.79M 3.92 $7.91
Invesco Municipal Trust  VKQ $9.19
+0.22
$508.53M $149.03K $9.14 $9.2 $508.53M 25.52 $0.36
CION Inv  CION $9.65
-0.62
$507.51M $289.13K $9.61 $9.81 $507.51M 0 -$0.29
Invesco California Value Municipal Income Trust  VCV $10.45
0
$501.08M $37.81K $10.39 $10.46 $501.08M 29.02 $0.36
Neuberger Berman Energy Infrastructure and Income Fund  NML $8.83
0
$500.3M $202.7K $8.8 $8.89 $500.3M 2.93 $3.01
Invesco Quality Municipal Income Trust  IQI $9.44
+0.11
$499.22M $353.1K $9.4 $9.54 $499.22M 24.84 $0.38
PIMCO Municipal Income Fund II  PML $7.43
-0.13
$493.91M $185.63K $7.42 $7.45 $493.91M 0 -$0.05
Mirrabooka Investments Limited  MIR.AX $3.33 2.2 USD
+0.6
$741.02M 490.45M USD $54.45K 36.03K USD $3.32 2.2 USD $3.35 2.22 USD $741.02M 490.45M USD 66.59 $0.05 0.03 USD
Hearts and Minds Investments Limited  HM1.AX $3.22 2.13 USD
0
$737.32M 488M USD $58.04K 38.41K USD $3.19 2.11 USD $3.22 2.13 USD $737.32M 488M USD 5.75 $0.56 0.37 USD
Royce Micro-Cap Trust  RMT $9.62
+0.63
$487.56M $138.15K $9.57 $9.65 $487.56M 7.40 $1.3
BlackRock Municipal Income Trust II  BLE $9.96
0
$475.36M $74.34K $9.95 $10.01 $475.36M 41.50 $0.24
PGIM High Yield Bond Fund  ISD $14.2
-0.07
$472.33M $98.66K $14.19 $14.3 $472.33M 9.59 $1.48
BlackRock Health Sciences Trust  BME $36.53
+0.41
$472.12M $44.29K $36.36 $36.6 $472.12M 22.41 $1.63
VGI Partners Global Investments Limited  VG1.AX $1.75 1.16 USD
0
$712.11M 471.32M USD $61.57K 40.75K USD $1.75 1.16 USD $1.77 1.17 USD $712.11M 471.32M USD 0 -$0.04 -0.02 USD
Nuveen New Jersey Quality Municipal Income Fund  NXJ $11.42
-0.09
$470.88M $145.39K $11.4 $11.44 $470.88M 12.54 $0.91
BlackRock Floating Rate Income Strategies Fund  FRA $13.25
-0.23
$467.79M $169.69K $13.23 $13.32 $467.79M 11.83 $1.12
Nuveen Taxable Municipal Income Fund  NBB $15.81
+0.44
$464.73M $19.61K $15.7 $15.86 $464.73M 20.26 $0.78
Ophir Asset Management Pty Ltd - Ophir High Conviction Fund  OPH.AX $3.14 2.08 USD
+0.64
$698.96M 462.61M USD $261.13K 172.83K USD $3.12 2.06 USD $3.16 2.09 USD $698.96M 462.61M USD 5.50 $0.57 0.38 USD
Tortoise Energy Infrastructure  TYG $42.95
-1.13
$462.35M $103.67K $42.71 $43.6 $462.35M 2.19 $19.59
John Hancock Preferred Income Fund III  HPS $14.42
+0.35
$462.21M $53.53K $14.36 $14.43 $462.21M 8.48 $1.7
Australian Ethical Investment Limited  AEF.AX $6.15 4.07 USD
+2.33
$697.53M 461.67M USD $243.94K 161.45K USD $5.94 3.93 USD $6.23 4.12 USD $697.53M 461.67M USD 47.30 $0.13 0.09 USD
BlackRock MuniYield Fund  MYD $10.03
-0.1
$458.71M $198.78K $10.02 $10.06 $458.71M 58.99 $0.17
Calamos Global Dynamic Income Fund  CHW $7.16
+0.42
$457.27M $179.31K $7.08 $7.18 $457.27M 12.13 $0.59
PennantPark Inv  PNNT $7
0
$457.07M $510.29K $6.93 $7.01 $457.07M 9.58 $0.73
Voya Global Equity Dividend and Premium Opportunity Fund  IGD $5.78
+0.35
$455.86M $192.36K $5.76 $5.79 $455.86M 6.79 $0.85
VALUE PARTNERS  0806.HK $1.95 0.25 USD
-1.02
$3.56B 455.46M USD $2.89M 369.65K USD $1.93 0.25 USD $2 0.26 USD $3.56B 455.46M USD 97.50 $0.02 0.002 USD
Duff & Phelps Utility and Infrastructure Fund  DPG $12.34
+0.98
$453.13M $99.43K $12.22 $12.36 $453.13M 3.47 $3.55
Eaton Vance Tax-Advantaged Global Dividend Opportunities Fund  ETO $27.61
+0.95
$452.48M $47.51K $27.5 $27.89 $452.48M 13.73 $2.01
Metrics Income Opportunities Trust  MOT.AX $2.04 1.35 USD
+0.49
$679.24M 449.56M USD $440.81K 291.75K USD $2.04 1.35 USD $2.05 1.36 USD $679.24M 449.56M USD 11.33 $0.18 0.12 USD
Third Point Investors Limited  TPOU.L $25.4
+0.4
$441.77M $5.03K $0 $0 $441.77M 4.16 $6.1
Fonterra Shareholders Fund  FSF.NZ $6.59 4.07 USD
+0.15
$707.84M 436.8M USD $62.53K 38.58K USD $6.56 4.05 USD $6.62 4.09 USD $707.84M 436.8M USD 0 $0 0 USD
Barings Corporate Investors  MCI $21.51
+0.66
$436.62M $10.61K $21.37 $21.91 $436.62M 12.29 $1.75
John Hancock Preferred Income Fund  HPI $16.24
+0.19
$434.18M $54.42K $16.2 $16.26 $434.18M 8.41 $1.93
Leonteq AG  LEON.SW $21.5 24.46 USD
+2.38
$380.65M 433.1M USD $47.98K 54.59K USD $20.85 23.72 USD $21.5 24.46 USD $380.65M 433.1M USD 74.13 $0.29 0.33 USD
Financial 15 Split Corp.  FTN.TO $9.72 7.21 USD
+0.62
$581.88M 431.79M USD $100.38K 74.49K USD $9.67 7.18 USD $9.75 7.24 USD $581.88M 431.79M USD 1.66 $5.85 4.34 USD
Flaherty & Crumrine Dynamic Preferred and Income Fund  DFP $20.97
+0.67
$430.68M $61.39K $20.83 $20.98 $430.68M 5.28 $3.97
Diamond Hill Inv  DHIL $157.09
+0.93
$428.49M $26.46K $154.34 $157.29 $428.49M 10.60 $14.81
Eaton Vance Tax-Managed Buy-Write Income Fund  ETB $14.49
+0.28
$425.64M $70.22K $14.45 $14.51 $425.64M 5.55 $2.61
BlackRock Municipal Income Trust  BFK $9.57
-0.1
$419.69M $91.33K $9.55 $9.6 $419.69M 47.85 $0.2
Wells Fargo Advantage Funds - Allspring Income Opportunities Fund  EAD $7.1
0
$419.56M $198.59K $7.08 $7.14 $419.56M 11.83 $0.6
ABC arbitrage SA  ABCA.PA $6.44 7.04 USD
+1.74
$381.52M 417.06M USD $49.59K 54.21K USD $6.3 6.89 USD $6.44 7.04 USD $381.52M 417.06M USD 14.31 $0.45 0.49 USD
Stellus Capital Inv  SCM $14.65
+0.83
$416.3M $107.89K $14.49 $14.65 $416.3M 10.24 $1.43
Abrdn World Healthcare Fund  THW $10.44
+0.58
$415.84M $113.88K $10.35 $10.44 $415.84M 208.79 $0.05
First Trust Enhanced Equity Income Fund  FFA $20.73
+0.63
$414.35M $10.27K $20.57 $20.76 $414.35M 5.46 $3.79
Eaton Vance Municipal Income Trust  EVN $10.44
0
$414.13M $58.94K $10.42 $10.46 $414.13M 11.22 $0.93
Nuveen Pennsylvania Quality Municipal Income Fund  NQP $11.12
+0.18
$413.86M $87.03K $11.1 $11.16 $413.86M 12.63 $0.88
Guggenheim Taxable Municipal Bond & Investment Grade Debt Trust  GBAB $15.37
+2.88
$410.53M $443.52K $14.95 $15.51 $410.53M 7.84 $1.96
BlackRock MuniAssets Fund  MUA $10.5
+0.38
$404.02M $65.39K $10.47 $10.54 $404.02M 11.66 $0.9
Future Generation Global Limited  FGG.AX $1.49 0.98 USD
+0.68
$594.36M 393.38M USD $262.13K 173.49K USD $1.46 0.97 USD $1.49 0.99 USD $594.36M 393.38M USD 6.18 $0.24 0.16 USD
Ayyan Investment Company  2140.SR $13.84 3.69 USD
+0.95
$1.46B 389.72M USD $310.87K 82.93K USD $13.75 3.67 USD $14.16 3.78 USD $1.46B 389.72M USD 0 -$0.08 -0.02 USD
Western Asset High Income Fund II  HIX $4.32
+0.47
$388.95M $242.62K $4.3 $4.32 $388.95M 5.02 $0.86
Western Asset High Income Opportunity Fund  HIO $4.03
+0.75
$383.25M $213.81K $4 $4.03 $383.25M 15.50 $0.26
Abrdn Life Sciences Investors  HQL $13.25
+1.92
$382.56M $172.69K $13.06 $13.29 $382.56M 0 -$0.48
BlackRock MuniVest Fund  MVF $6.59
+0.15
$377.84M $94.78K $6.57 $6.61 $377.84M 38.76 $0.17
FRMO  FRMO $8.55
+0.59
$376.39M $300 $8.55 $8.55 $376.39M 61.07 $0.14
PIMCO Income Strategy Fund  PFL $8.39
+0.48
$376.3M $118.72K $8.36 $8.39 $376.3M 8.47 $0.99
Saratoga Inv  SAR $24.32
-2.88
$373.67M $304.86K $24.01 $25 $373.67M 9.92 $2.45
CapMan Oyj  CAPMAN.HE $1.93 2.11 USD
+0.21
$340.97M 372.73M USD $18.8K 20.55K USD $1.92 2.1 USD $1.94 2.12 USD $340.97M 372.73M USD 48.20 $0.04 0.04 USD
Invesco Advantage Municipal Income Trust II  VKI $8.37
-0.24
$371.68M $66.83K $8.35 $8.4 $371.68M 25.36 $0.33
Nuveen Real Asset Income and Growth Fund  JRI $13.48
0
$369.58M $91.8K $13.42 $13.58 $369.58M 14.49 $0.93
BNY Mellon Strategic Municipals  LEO $5.93
-0.5
$369.39M $94.1K $5.91 $5.97 $369.39M 148.25 $0.04
BlackRock MuniYield New York Quality Fund  MYN $9.48
-0.11
$363.21M $116.65K $9.46 $9.53 $363.21M 316.00 $0.03
Source Capital  SOR $43.89
+0.07
$359.9M $5.53K $43.89 $44.81 $359.9M 9.18 $4.78
Eaton Vance Senior Floating-Rate Trust  EFR $12.1
+0.08
$357.24M $36.93K $12.09 $12.18 $357.24M 20.86 $0.58
BlackRock Energy and Resources Trust  BGR $13.62
+0.74
$355.6M $104.54K $13.48 $13.64 $355.6M 28.37 $0.48
Nuveen New York Quality Municipal Income Fund  NAN $11.44
+0.18
$352.77M $45.88K $11.41 $11.44 $352.77M 13.45 $0.85
Putnam Premier Income Trust  PPT $3.69
+1.1
$352.64M $118.74K $3.66 $3.69 $352.64M 16.77 $0.22
Cohen & Steers Closed-End Opportunity Fund  FOF $12.71
+0.16
$351.51M $68.58K $12.67 $12.74 $351.51M 5.80 $2.19
Kitahama Capital Partners Co.,Ltd.  2134.T $96 0.65 USD
-7.69
$51.99B 350.94M USD $53.32M 359.91K USD $93 0.63 USD $105 0.71 USD $51.99B 350.94M USD 0 -$3 -0.02 USD
John Hancock Preferred Income Fund II  HPF $16.13
+0.37
$348.26M $68.85K $16.07 $16.2 $348.26M 8.44 $1.91
Hsi Malls Fundo De Investimento Imobiliario  HSML11.SA $83.99 17.02 USD
-0.37
$1.71B 347.59M USD $0 0 USD $0 0 USD $0 0 USD $1.71B 347.59M USD 3.67 $22.86 4.63 USD
Saba Capital Income & Opportunities Fund  BRW $8.12
+0.31
$345.34M $225.64K $8.06 $8.12 $345.34M 6.71 $1.21
DWS Municipal Income Trust  KTF $8.81
-0.11
$345.11M $56.77K $8.81 $8.84 $345.11M 9.89 $0.89
Blackstone Loan Financing Limited  BGLF.L $0.89 0.97 USD
+19.65
$313.63M 342.84M USD $1.09M 1.19M USD $0.7399 0.81 USD $0.76 0.83 USD $313.63M 342.84M USD 3.86 $0.23 0.25 USD
Liberty All-Star Growth Fund  ASG $5.52
+0.55
$342.01M $86.07K $5.48 $5.52 $342.01M 6.73 $0.82
Ares Dynamic Credit Allocation Fund  ARDC $14.32
+0.28
$341.86M $107.19K $14.28 $14.37 $341.86M 8.62 $1.66
Future Generation Australia Limited  FGX.AX $1.25 0.82 USD
+0.81
$510.5M 337.88M USD $357.26K 236.46K USD $1.23 0.81 USD $1.25 0.82 USD $510.5M 337.88M USD 10.37 $0.12 0.08 USD
abrdn Global Premier Properties Fund  AWP $3.87
-0.26
$335.44M $282.98K $3.84 $3.9 $335.44M 7.44 $0.52
Morgan Stanley Emerging Markets Domestic Debt Fund  EDD $5.16
+0.39
$332.59M $313.11K $5.14 $5.22 $332.59M 8.59 $0.6
Eaton Vance Floating-Rate Income Trust  EFT $12.57
+0.08
$332.41M $33.32K $12.52 $12.6 $332.41M 8.72 $1.44
PIMCO Strategic Income Fund  RCS $7.09
+1
$330.77M $115.11K $7.02 $7.09 $330.77M 10.90 $0.65
BlackRock California Municipal Income Trust  BFZ $10.83
+0.09
$325.59M $64.58K $10.81 $10.85 $325.59M 83.30 $0.13
Horizon Technology Finance  HRZN $8.02
+2.95
$323.65M $487.26K $7.8 $8.03 $323.65M 0 -$0.95
Virtus Convertible & Income Fund  NCV $14.27
+0.92
$322.41M $82.34K $14.17 $14.29 $322.41M 1.22 $11.64
Nuveen S&P 500 Dynamic Overwrite Fund  SPXX $17.87
+0.06
$320.95M $61.29K $17.87 $17.99 $320.95M 5.30 $3.37
BlackRock Floating Rate Income Trust  BGT $12.55
+0.16
$320.29M $283.21K $12.51 $12.63 $320.29M 11.30 $1.11
BlackRock MuniYield Michigan Quality Fund  MIY $11.03
+0.08
$319.48M $67.51K $10.99 $11.06 $319.48M 68.93 $0.16
Barings Global Short Duration High Yield Fund  BGH $15.82
+0.83
$317.42M $133.09K $15.75 $15.84 $317.42M 7.53 $2.1
Cohen & Steers Total Return Realty Fund  RFI $11.88
-1
$317.02M $99.13K $11.88 $12 $317.02M 18.85 $0.63
Perpetual Equity Investment Company Limited  PIC.AX $1.25 0.82 USD
+1.22
$476.95M 315.67M USD $126.19K 83.52K USD $1.23 0.81 USD $1.25 0.82 USD $476.95M 315.67M USD 12.44 $0.1 0.07 USD
Virtus Convertible & Income Fund II  NCZ-PA $20.85
+0.39
$314.34M $378 $20.8 $20.85 $314.34M 15.85 $1.32
Canadian Banc Corp.  BK.TO $12.19 9.05 USD
+0.16
$418.56M 310.6M USD $60.57K 44.94K USD $12.14 9.01 USD $12.22 9.07 USD $418.56M 310.6M USD 2.32 $5.25 3.9 USD
Crypto Blockchain Industries  ALCBI.PA $0.91 1 USD
-2.98
$280.21M 306.31M USD $684K 747.7K USD $0.88 0.96 USD $0.9899 1.08 USD $280.21M 306.31M USD 0 -$0.01 -0.01 USD
MFS Intermediate Income Trust  MIN $2.68
-0.19
$304.98M $91.8K $2.68 $2.7 $304.98M 12.18 $0.22
Nuveen Global High Income Fund  JGH $13.13
+0.38
$304.32M $120.52K $13.1 $13.23 $304.32M 7.67 $1.71
CHINA MERCHANTS  0133.HK $15.6 1.99 USD
+0.39
$2.38B 303.85M USD $256K 32.73K USD $15.54 1.99 USD $15.68 2 USD $2.38B 303.85M USD 2.51 $6.2 0.79 USD
North American Financial 15 Split Corp.  FFN.TO $7 5.19 USD
+0.57
$406.78M 301.85M USD $132.38K 98.23K USD $6.98 5.18 USD $7.02 5.21 USD $406.78M 301.85M USD 1.23 $5.68 4.21 USD
BlackRock MuniHoldings New York Quality Fund  MHN $9.78
+0.1
$295.76M $16.14K $9.77 $9.84 $295.76M 489.00 $0.02
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