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時価総額合計
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結果ページ3 セクター:金融 産業:資産管理 株式市場―見積もりと価格

価格、時価総額、PE、EPSを含む全株式と自己資本のリスト
金融 (1911)
名前 名前 価格 価格 24h%
7d chart
24h% & 7d
時価総額 時価総額 出来高 出来高 過去24時間底値 過去24時間高値 時価総額 PER (株価収益率) 1株当たり利益
名前 名前 価格 価格 24h%
7d chart
24h% & 7d
時価総額 時価総額 出来高 出来高 過去24時間底値 過去24時間高値 時価総額 PER (株価収益率) 1株当たり利益
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Magellan Financial Group Limited  MFG.AX $8.29 5.49 USD
-2.59
$1.44B 949.98M USD $668.72K 442.59K USD $8.29 5.49 USD $8.58 5.68 USD $1.44B 949.98M USD 6.52 $1.27 0.84 USD
Eagle Point Credit Company  ECC $7.76
+1.57
$932.62M $886.9K $7.68 $7.78 $932.62M 9.02 $0.86
Trinity Capital  TRIN $14.41
-0.62
$931.62M $1.03M $14.31 $14.58 $931.62M 6.46 $2.23
AllianceBernstein Global High Income Fund  AWF $10.8
-0.04
$931.28M $143.87K $10.79 $10.87 $931.28M 13.50 $0.8
Cornerstone Total Return Fund  CRF $7.6
-0.39
$918.85M $899.35K $7.57 $7.66 $918.85M 5.35 $1.42
JIUDING INVESTMENT  600053.SS $15.17 2.11 USD
-0.59
$6.58B 914.46M USD $13.06M 1.82M USD $15.13 2.1 USD $15.8 2.2 USD $6.58B 914.46M USD 0 -$0.71 -0.09 USD
SLR Inv  SLRC $16.76
+0.24
$914.34M $101.24K $16.61 $16.77 $914.34M 10.34 $1.62
BKI Investment Company Limited  BKI.AX $1.71 1.13 USD
-0.58
$1.38B 913.49M USD $237.29K 157.05K USD $1.71 1.13 USD $1.72 1.14 USD $1.38B 913.49M USD 24.42 $0.07 0.05 USD
Eaton Vance Tax-Managed Global Buy-Write Opportunities Fund  ETW $8.41
+0.12
$913.31M $358.87K $8.38 $8.45 $913.31M 8.32 $1.01
Abrdn Total Dynamic Dividend Fund  AOD $8.6
+0.47
$906.71M $473.49K $8.55 $8.64 $906.71M 4.45 $1.93
Australian United Investment Company Limited  AUI.AX $10.96 7.25 USD
+0.09
$1.36B 900.11M USD $24.96K 16.52K USD $10.93 7.23 USD $11.08 7.33 USD $1.36B 900.11M USD 28.10 $0.39 0.26 USD
MA Financial Group Limited  MAF.AX $7.16 4.74 USD
+1.13
$1.31B 869.24M USD $263.17K 174.18K USD $6.89 4.56 USD $7.21 4.77 USD $1.31B 869.24M USD 28.64 $0.25 0.17 USD
BlackRock Enhanced Large Cap Core Fund  CII $20.43
-0.15
$857.39M $72.2K $20.4 $20.63 $857.39M 7.14 $2.86
Nuveen New York AMT-Free Quality Municipal Income Fund  NRK $9.79
-0.41
$854.03M $123.7K $9.78 $9.83 $854.03M 11.65 $0.84
Calamos Convertible and High Income Fund  CHY $10.58
+0.67
$839.01M $139.84K $10.5 $10.6 $839.01M 4.52 $2.34
ClearBridge Energy Midstream Opportunity Fund  EMO $46.1
+0.68
$838.57M $60.54K $45.72 $46.55 $838.57M 2.29 $20.07
PIMCO High Income Fund  PHK $4.78
-0.21
$819.73M $483.48K $4.78 $4.8 $819.73M 7.70 $0.62
Eaton Vance Enhanced Equity Income Fund  EOI $19.99
-0.89
$816.57M $50.52K $19.99 $20.3 $816.57M 12.98 $1.54
PIMCO Corporate & Income Strategy Fund  PCN $12.75
-0.31
$815.72M $233.14K $12.7 $12.81 $815.72M 9.37 $1.36
John Hancock Tax-Advantaged Dividend Income Fund  HTD $22.69
-0.44
$803.95M $50.87K $22.57 $22.89 $803.95M 3.07 $7.37
Abrdn Healthcare Investors  HQH $15.41
-0.84
$803.32M $214.33K $15.41 $15.63 $803.32M 4.36 $3.53
Mutares SE & Co. KGaA  MUX.DE $33.8 36.95 USD
-0.59
$728.03M 795.84M USD $11.45K 12.52K USD $33.5 36.62 USD $34.2 37.39 USD $728.03M 795.84M USD 0 -$19.1 -20.8 USD
Pacific Century Regional Developments Limited  P15.SI $0.4 0.3 USD
+3.9
$1.06B 793.47M USD $337.2K 252.72K USD $0.38 0.28 USD $0.4 0.3 USD $1.06B 793.47M USD 0 -$0.01 -0.007 USD
Calamos Convertible Opportunities and Income Fund  CHI $10.16
-0.2
$791.17M $205.31K $10.14 $10.22 $791.17M 4.63 $2.19
BlackRock MuniYield Quality Fund  MQY $10.99
-0.09
$789.45M $180.08K $10.98 $11.06 $789.45M 57.84 $0.19
The Westaim Corporation  WED.V $31.66 23.49 USD
+1.15
$1.06B 788.32M USD $3.62K 2.69K USD $31.34 23.26 USD $31.8 23.6 USD $1.06B 788.32M USD 0 -$2.96 -2.1 USD
PM Capital Global Opportunities Fund Limited  PGF.AX $2.46 1.63 USD
-0.81
$1.19B 786.95M USD $411.75K 272.52K USD $2.46 1.63 USD $2.52 1.67 USD $1.19B 786.95M USD 8.19 $0.3 0.2 USD
Diversified United Investment Limited  DUI.AX $5.4 3.57 USD
+0.19
$1.16B 769.31M USD $12.54K 8.3K USD $5.4 3.57 USD $5.46 3.61 USD $1.16B 769.31M USD 31.76 $0.17 0.11 USD
Flaherty & Crumrine Preferred Securities Income Fund  FFC $15.76
+0.06
$759.28M $81.68K $15.7 $15.81 $759.28M 4.97 $3.17
Abrdn Healthcare Opportunities Fund  THQ $18.3
-0.33
$756.82M $180.03K $18.3 $18.49 $756.82M 3.99 $4.58
Blackrock Resources & Commodities Strategy Trust  BCX $9.47
-0.11
$740.49M $213.65K $9.43 $9.56 $740.49M 0 -$0.35
Noah  NOAH $11.08
-3.48
$737.92M $228.83K $10.76 $11.46 $737.92M 11.42 $0.97
Abrdn Income Credit Strategies Fund  ACP $5.84
-0.17
$732.75M $597.08K $5.84 $5.86 $732.75M 4.70 $1.24
CBRE Global Real Estate Income Fund  IGR $5.13
+0.2
$725.87M $440.1K $5.11 $5.19 $725.87M 0 -$0.38
Zhuhai Huajin Capital Co., Ltd.  000532.SZ $15.14 2.11 USD
-0.07
$5.22B 725.65M USD $10.83M 1.51M USD $14.99 2.08 USD $15.29 2.13 USD $5.22B 725.65M USD 60.56 $0.25 0.03 USD
Nuveen Credit Strategies Income Fund  JQC $5.32
+0.19
$724.58M $529.31K $5.3 $5.33 $724.58M 9.01 $0.59
Partners Group Private Equity Ord  PEY.L $9.5 10.38 USD
+1.06
$656.94M 718.12M USD $27.32K 29.87K USD $9.36 10.23 USD $9.58 10.47 USD $656.94M 718.12M USD 6.01 $1.58 1.73 USD
Brookfield Real Assets Income Fund  RA $12.96
+0.15
$716.1M $143.07K $12.92 $13 $716.1M 10.98 $1.18
Fidus Inv  FDUS $20.14
+0.2
$705.14M $146.85K $19.88 $20.18 $705.14M 8.64 $2.33
BlackRock MuniYield Quality Fund III  MYI $10.4
-0.38
$691.26M $120.91K $10.38 $10.44 $691.26M 57.77 $0.18
GAMCO Global Gold, Natural Resources & Income Trust  GGN $4.42
-0.67
$687.81M $425.01K $4.42 $4.46 $687.81M 15.24 $0.29
Nuveen Select Tax-Free Income Portfolio  NXP $13.98
+0.07
$687.58M $35.89K $13.96 $14 $687.58M 8.90 $1.57
Life & Banc Split Corp.  LBS.TO $9.25 6.86 USD
0
$923.75M 685.48M USD $54.33K 40.32K USD $9.22 6.84 USD $9.29 6.89 USD $923.75M 685.48M USD 17.78 $0.52 0.39 USD
PIMCO Income Strategy Fund II  PFN $7.31
-0.27
$682.44M $194.7K $7.31 $7.36 $682.44M 0 -$0.75
Plato Income Maximiser Limited  PL8.AX $1.37 0.9 USD
+0.37
$1.02B 676.34M USD $306.04K 202.56K USD $1.37 0.9 USD $1.38 0.91 USD $1.02B 676.34M USD 13.65 $0.1 0.07 USD
John Hancock Financial Opportunities Fund  BTO $33.93
-1.29
$670.55M $24.04K $33.78 $34.18 $670.55M 4.75 $7.14
BlackRock TCP Capital  TCPC $7.82
0
$665M $485.88K $7.67 $7.89 $665M 0 -$0.62
ASA Gold and Precious Metals  ASA $34.46
+1.09
$651.68M $77.62K $34.24 $35 $651.68M 5.74 $6
XINLI FINANCE  600318.SS $9.11 1.27 USD
-1.51
$4.67B 649.46M USD $32.26M 4.49M USD $9.07 1.26 USD $9.4 1.31 USD $4.67B 649.46M USD 130.14 $0.07 0.009 USD
Abrdn Asia-Pacific Income Fund  FAX $15.7
-0.51
$648.14M $94.15K $15.7 $15.81 $648.14M 5.81 $2.7
Virtus Equity & Convertible Income Fund  NIE $23.37
+0.13
$647.56M $54.69K $23.21 $23.48 $647.56M 4.97 $4.7
The India Fund  IFN $16.2
-0.43
$646.34M $90.94K $16.2 $16.31 $646.34M 5.11 $3.17
John Hancock Premium Dividend Fund  PDT $13.04
-0.15
$641.37M $103.06K $13.01 $13.14 $641.37M 3.25 $4
BlackRock Enhanced Global Dividend Trust  BOE $11.17
+0.09
$636.98M $152.06K $11.13 $11.19 $636.98M 10.95 $1.02
Alaris Equity Partners Income Trust  AD-UN.TO $18.69 13.87 USD
-0.11
$850.4M 631.05M USD $26.92K 19.97K USD $18.64 13.83 USD $18.8 13.95 USD $850.4M 631.05M USD 4.63 $4.03 2.99 USD
Invesco Municipal Opportunity Trust  VMO $9.11
-0.11
$614.38M $270.43K $9.08 $9.14 $614.38M 25.30 $0.36
Svolder AB (publ)  SVOL-B.ST $59.75 5.83 USD
+0.59
$6.23B 608.54M USD $93.65K 9.14K USD $59.3 5.79 USD $60 5.86 USD $6.23B 608.54M USD 13.89 $4.3 0.42 USD
BlackRock Multi-Sector Income Trust  BIT $14.29
-0.42
$597.87M $107.81K $14.26 $14.33 $597.87M 11.71 $1.22
Vinci Partners Investments  VINP $9.41
-2.28
$595.13M $28.89K $9.41 $9.85 $595.13M 25.43 $0.37
Eaton Vance Risk-Managed Diversified Equity Income Fund  ETJ $8.83
-0.45
$594.27M $140.64K $8.81 $8.92 $594.27M 4.41 $2
Gladstone Capital  GLAD $26.52
-0.34
$592.19M $57.45K $26.28 $26.73 $592.19M 6.73 $3.94
BlackRock MuniHoldings Fund  MHD $11.13
-0.45
$580.34M $39.52K $11.13 $11.23 $580.34M 50.59 $0.22
WAM Global Limited  WGB.AX $2.45 1.62 USD
0
$874.99M 579.12M USD $175.18K 115.94K USD $2.44 1.61 USD $2.49 1.65 USD $874.99M 579.12M USD 7.20 $0.34 0.23 USD
BlackRock MuniHoldings New Jersey Quality Fund  MUJ $10.83
-0.32
$575.73M $45.02K $10.8 $10.87 $575.73M 51.54 $0.21
Invesco Senior Income Trust  VVR $3.74
+0.81
$574.41M $374.16K $3.7 $3.74 $574.41M 13.85 $0.27
AGF Management Limited  AGF-B.TO $11.93 8.85 USD
-0.91
$768.05M 569.94M USD $52.48K 38.94K USD $11.88 8.82 USD $12.06 8.95 USD $768.05M 569.94M USD 8.17 $1.46 1.08 USD
Western Asset Emerging Markets Debt Fund  EMD $9.77
-0.1
$567.93M $174.02K $9.76 $9.82 $567.93M 9.21 $1.06
Bangkok Commercial Asset Management Public Company Limited  BAM.BK $6.2 0.17 USD
+0.81
$20.04B 563.83M USD $9.15M 257.36K USD $6.15 0.17 USD $6.35 0.18 USD $20.04B 563.83M USD 14.09 $0.44 0.01 USD
EQT Holdings Limited  EQT.AX $31.41 20.79 USD
-0.29
$842.94M 557.91M USD $12.29K 8.13K USD $31.24 20.68 USD $31.77 21.03 USD $842.94M 557.91M USD 44.23 $0.71 0.47 USD
Nuveen California AMT-Free Quality Municipal Income Fund  NKX $11.61
-0.43
$554.61M $256.46K $11.61 $11.75 $554.61M 13.65 $0.85
Dividend 15 Split Corp.  DFN.TO $5.99 4.44 USD
-0.25
$746.48M 553.93M USD $198.43K 147.25K USD $5.98 4.44 USD $6.01 4.46 USD $746.48M 553.93M USD 1.83 $3.26 2.42 USD
BlackRock Utilities, Infrastructure & Power Opportunities Trust  BUI $24.24
-0.29
$550.4M $48.58K $24.24 $24.45 $550.4M 15.24 $1.59
Invesco Value Municipal Income Trust  IIM $11.65
-0.17
$548.35M $95.88K $11.64 $11.68 $548.35M 25.88 $0.45
Crescent Capital BDC  CCAP $14.74
-0.54
$546.29M $246.2K $14.5 $14.8 $546.29M 11.00 $1.34
G-RESOURCES  1051.HK $9.44 1.21 USD
+3.28
$4.26B 544.14M USD $1.4M 179.02K USD $9.07 1.16 USD $9.58 1.22 USD $4.26B 544.14M USD 11.37 $0.83 0.11 USD
Calamos Dynamic Convertible and Income Fund  CCD $20.09
-0.05
$543.53M $60.24K $20.05 $20.22 $543.53M 4.62 $4.34
Djerriwarrh Investments Limited  DJW.AX $3.12 2.06 USD
0
$820.72M 543.2M USD $105K 69.5K USD $3.12 2.06 USD $3.13 2.07 USD $820.72M 543.2M USD 22.28 $0.14 0.09 USD
BlackRock Debt Strategies Fund  DSU $10.47
-0.29
$542.44M $137.04K $10.46 $10.54 $542.44M 11.38 $0.92
BlackRock Enhanced International Dividend Trust  BGY $5.79
+0.7
$538.11M $199.18K $5.75 $5.8 $538.11M 52.63 $0.11
PGIM Global High Yield Fund  GHY $13.13
-0.19
$537.13M $108.27K $13.12 $13.2 $537.13M 7.95 $1.65
Adams Natural Resources Fund  PEO $20.41
-0.05
$536.47M $88.88K $20.22 $20.56 $536.47M 16.07 $1.27
BlackRock Core Bond Trust  BHK $9.7
-1.42
$536.32M $161.99K $9.7 $9.85 $536.32M 53.88 $0.18
Western Asset Managed Municipals Fund  MMU $9.79
-0.2
$534.72M $94.81K $9.77 $9.82 $534.72M 11.25 $0.87
Blackstone Strategic Credit 2027 Term Fund  BGB $11.95
-0.08
$533.74M $67.37K $11.9 $11.97 $533.74M 9.55 $1.25
BlackRock Limited Duration Income Trust  BLW $14.05
+0.36
$531.79M $96.5K $14.01 $14.06 $531.79M 11.15 $1.26
Hedef Holding A.S  HEDEF.IS $8.97 0.28 USD
-0.66
$16.82B 528.18M USD $2.46M 77.18K USD $8.91 0.28 USD $9.29 0.29 USD $16.82B 528.18M USD 33.22 $0.27 0.008 USD
Western Asset Inflation-Linked Opportunities & Income Fund  WIW $8.54
-0.47
$522.51M $199.39K $8.54 $8.58 $522.51M 14.72 $0.58
Eaton Vance Municipal Bond Fund  EIM $9.62
+0.1
$520.21M $79.13K $9.58 $9.63 $520.21M 0 -$0.07
Gladstone Inv  GAIN $14.1
-2.02
$519.41M $254.03K $14.01 $14.46 $519.41M 7.92 $1.78
Invesco Trust for Investment Grade Municipals  VGM $9.57
-0.1
$519M $410.09K $9.55 $9.6 $519M 25.18 $0.38
Advent Convertible and Income Fund  AVK $11.74
+0.77
$518.31M $71.68K $11.66 $11.75 $518.31M 4.31 $2.72
Navigator Global Investments Limited  NGI.AX $1.59 1.05 USD
0
$779.23M 515.74M USD $456.11K 301.88K USD $1.57 1.04 USD $1.61 1.06 USD $779.23M 515.74M USD 3.24 $0.49 0.32 USD
Nuveen Dow 30 Dynamic Overwrite Fund  DIAX $14.03
-0.43
$510.23M $30.3K $14.03 $14.14 $510.23M 8.40 $1.67
Invesco Municipal Trust  VKQ $9.2
0
$509.09M $175.87K $9.16 $9.23 $509.09M 25.55 $0.36
KKR Income Opportunities Fund  KIO $12.18
0
$506.49M $142.98K $12.17 $12.29 $506.49M 4.99 $2.44
Deutsche Beteiligungs AG  DBAN.DE $24.85 27.16 USD
0
$455.01M 497.39M USD $4.29K 4.69K USD $24.8 27.11 USD $25.1 27.44 USD $455.01M 497.39M USD 9.94 $2.5 2.73 USD
Invesco Quality Municipal Income Trust  IQI $9.37
0
$495.52M $93.8K $9.33 $9.41 $495.52M 24.65 $0.38
PIMCO Municipal Income Fund II  PML $7.4
0
$491.91M $239.22K $7.37 $7.43 $491.91M 0 -$0.05
Invesco California Value Municipal Income Trust  VCV $10.27
-0.24
$491.6M $80.37K $10.25 $10.31 $491.6M 28.51 $0.36
The Gabelli Utility Trust  GUT $5.56
+0.91
$490.56M $163.8K $5.53 $5.57 $490.56M 11.11 $0.5
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