$2.36T
시가 총액
$73.59B
총 거래량
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지배력

결과 페이지 5 - 부문: 금융 업종: 자산 관리 주식 시장 - 시세 및 가격

가격, 시가 총액, PE 및 EPS가 포함된 모든 주식 목록
금융 (1911)
이름 이름 가격 가격 24h%
7d chart
24h% & 7d
시가 총액 시가 총액 거래량 거래량 24h 최저가 24h 최고가 시가 총액 주가수익비율 주당순이익
이름 이름 가격 가격 24h%
7d chart
24h% & 7d
시가 총액 시가 총액 거래량 거래량 24h 최저가 24h 최고가 시가 총액 주가수익비율 주당순이익
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Morgan Stanley Emerging Markets Domestic Debt Fund  EDD $4.56
-0.11
$297.58M $216.77K $4.55 $4.62 $297.58M 8.00 $0.57
BlackRock Municipal Income Quality Trust  BYM $11.46
+0.44
$296.85M $59.91K $11.4 $11.48 $296.85M 63.66 $0.18
Hedef Holding A.S  HEDEF.IS $25.2 0.79 USD
-0.79
$9.45B 296.77M USD $537.57K 16.88K USD $25.1 0.79 USD $26.14 0.82 USD $9.45B 296.77M USD 0 -$2.14 -0.06 USD
Nuveen Global High Income Fund  JGH $12.79
+0.16
$296.44M $47.85K $12.78 $12.94 $296.44M 7.02 $1.82
Virtus Convertible & Income Fund  NCV $3.27
-0.3
$295.52M $816.14K $3.25 $3.3 $295.52M 36.33 $0.09
BNY Mellon Strategic Municipal Bond Fund  DSM $5.94
+1.37
$293.61M $126.5K $5.88 $5.94 $293.61M 31.26 $0.19
Nuveen S&P 500 Dynamic Overwrite Fund  SPXX $16.33
+1.11
$293.29M $55.17K $16.24 $16.39 $293.29M 6.11 $2.67
Barings Global Short Duration High Yield Fund  BGH $14.45
+0.21
$289.93M $38.15K $14.4 $14.47 $289.93M 6.09 $2.37
Financial 15 Split Corp.  FTN.TO $8.16 6.06 USD
+0.44
$387.06M 287.22M USD $223.07K 165.53K USD $8.09 6 USD $8.19 6.08 USD $387.06M 287.22M USD 0 -$1 -0.7 USD
Nuveen California Municipal Value Fund  NCA $8.67
+0.23
$287.05M $51.58K $8.66 $8.7 $287.05M 16.35 $0.53
BlackRock Floating Rate Income Trust  BGT $12.76
-1.09
$287.05M $112.67K $12.76 $12.9 $287.05M 7.29 $1.75
PIMCO Strategic Income Fund  RCS $6.21
+0.81
$286.1M $65.86K $6.15 $6.23 $286.1M 10.18 $0.61
Bitcoin Group SE  ADE.DE $51.9 56.73 USD
-4.6
$261.44M 285.79M USD $23.84K 26.06K USD $51.9 56.73 USD $54.9 60.01 USD $261.44M 285.79M USD 152.64 $0.34 0.37 USD
WhiteHorse Finance  WHF $12.27
+1.4
$285.19M $62.09K $12.09 $12.29 $285.19M 14.96 $0.82
Putnam Managed Municipal Income Trust  PMM $6.2
+0.81
$283.58M $173.15K $6.12 $6.2 $283.58M 26.95 $0.23
ClearBridge MLP and Midstream Total Return Fund  CTR $40.68
+0.84
$280.16M $11.16K $40.42 $40.86 $280.16M 8.33 $4.88
Platinum Capital Limited  PMC.AX $1.41 0.93 USD
+0.71
$416.56M 275.7M USD $171.16K 113.28K USD $1.41 0.93 USD $1.41 0.93 USD $416.56M 275.7M USD 23.50 $0.06 0.04 USD
China Merchants China Direct Investments Limited  0133.HK $14.02 1.79 USD
+0.14
$2.14B 273.08M USD $368K 47.05K USD $13.92 1.78 USD $14.1 1.8 USD $2.14B 273.08M USD 46.73 $0.3 0.04 USD
Fonterra Shareholders Fund  FSF.NZ $4.08 2.52 USD
+1.49
$438.24M 270.43M USD $50.7K 31.29K USD $4 2.47 USD $4.09 2.52 USD $438.24M 270.43M USD 0 $0 0 USD
International Genius Company  0033.HK $3.56 0.46 USD
-5.57
$2.1B 269.1M USD $1.11M 142.44K USD $3.4 0.43 USD $3.77 0.48 USD $2.1B 269.1M USD 0 -$0.08 -0.01 USD
Abrdn Emerging Markets Equity Income Fund  AEF $5.28
+0.02
$268.02M $47.81K $5.28 $5.33 $268.02M 9.26 $0.57
Fonterra Shareholders Fund  FSF.AX $3.75 2.48 USD
0
$402.79M 266.59M USD $693 458.67 USD $3.72 2.46 USD $3.75 2.48 USD $402.79M 266.59M USD 0 $0 0 USD
Morgan Stanley India Investment Fund  IIF $26.75
+0.07
$266.08M $24.85K $26.69 $26.99 $266.08M 5.44 $4.91
MFS Charter Income Trust  MCR $6.27
+0.24
$265.55M $63.03K $6.25 $6.28 $265.55M 16.50 $0.38
LMP Capital and Income Fund  SCD $15.48
+0.75
$265.29M $61.81K $15.36 $15.48 $265.29M 10.45 $1.48
PIMCO Municipal Income Fund III  PMX $7.88
+0.9
$263.41M $134.6K $7.78 $7.88 $263.41M 12.31 $0.64
Eaton Vance National Municipal Opportunities Trust  EOT $16.84
+0.24
$263.12M $45.15K $16.7 $16.88 $263.12M 18.10 $0.93
Western Asset High Yield Defined Opportunity Fund  HYI $11.6
-0.26
$262.86M $83.87K $11.58 $11.66 $262.86M 21.88 $0.53
RiverNorth Opportunities Fund  RIV $12.25
+0.57
$262.8M $99.46K $12.19 $12.29 $262.8M 8.16 $1.5
DoubleLine Opportunistic Credit Fund  DBL $15.36
+0.92
$262.21M $99.1K $15.23 $15.39 $262.21M 7.95 $1.93
Bellevue Group AG  BBN.SW $17.5 19.91 USD
-0.57
$230.23M 261.95M USD $4.96K 5.65K USD $17.4 19.8 USD $17.65 20.08 USD $230.23M 261.95M USD 15.21 $1.15 1.31 USD
First Trust Senior Floating Rate Income Fund II  FCT $10.08
-0.69
$261.91M $332.44K $10.06 $10.18 $261.91M 8.92 $1.13
VEF AB (publ)  VEFAB.ST $2.42 0.24 USD
+0.21
$2.67B 260.18M USD $314.85K 30.73K USD $2.41 0.23 USD $2.49 0.24 USD $2.67B 260.18M USD 5.76 $0.42 0.04 USD
MFS Multimarket Income Trust  MMT $4.68
+0.69
$259.38M $102.48K $4.66 $4.7 $259.38M 15.59 $0.3
Invesco Pennsylvania Value Municipal Income Trust  VPV $10.86
+0.56
$258.79M $21.48K $10.8 $10.89 $258.79M 18.09 $0.6
BlackRock New York Municipal Income Trust  BNY $10.71
+0.37
$258.29M $52.54K $10.65 $10.74 $258.29M 32.45 $0.33
Franklin Limited Duration Income Trust  FTF $6.34
-0.31
$256.17M $174.64K $6.34 $6.39 $256.17M 7.63 $0.83
BlackRock Income Trust  BKT $11.93
+0.34
$254.2M $104.41K $11.82 $11.93 $254.2M 17.28 $0.69
Taaleri Oyj  TAALA.HE $8.21 8.97 USD
+0.12
$231.49M 253.05M USD $6.43K 7.03K USD $8.19 8.95 USD $8.29 9.06 USD $231.49M 253.05M USD 7.97 $1.03 1.13 USD
Allspring Multi-Sector Income Fund  ERC $8.98
+0.22
$252.04M $248.98K $8.95 $8.99 $252.04M 12.47 $0.72
Templeton Emerging Markets Income Fund  TEI $5.33
-0.37
$251.73M $166.61K $5.28 $5.4 $251.73M 7.10 $0.75
Catella AB (publ)  CAT-B.ST $29.2 2.85 USD
-0.17
$2.58B 251.58M USD $20.94K 2.04K USD $29.2 2.85 USD $29.6 2.89 USD $2.58B 251.58M USD 208.57 $0.14 0.01 USD
ABC arbitrage SA  ABCA.PA $3.85 4.2 USD
-1.03
$228.12M 249.36M USD $42.43K 46.38K USD $3.84 4.2 USD $3.9 4.26 USD $228.12M 249.36M USD 13.73 $0.28 0.31 USD
Nuveen AMT-Free Municipal Value Fund  NUW $13.88
+1.17
$249.16M $90.65K $13.66 $13.88 $249.16M 28.91 $0.48
China Vered Financial Holding Corporation Limited  0245.HK $0.05999 0.0070 USD
-5.17
$1.91B 244.13M USD $329.39M 42.12M USD $0.04 0.0056 USD $0.08 0.01 USD $1.91B 244.13M USD 0 $0 0 USD
Nuveen Core Equity Alpha Fund  JCE $15
+1.01
$241.42M $70.84K $14.77 $15 $241.42M 5.95 $2.52
Fair Oaks Income Limited  FA17.L $0.5699
0
$240.58M $3.33M $0 $0 $240.58M 8.14 $0.07
Fair Oaks Income Limited  FAIR.L $0.56
0
$240.58M $89.16K $0.54 $0.5699 $240.58M 7.92 $0.07
PIMCO Municipal Income Fund  PMF $9.17
+0.66
$240.49M $54.03K $9.08 $9.17 $240.49M 13.68 $0.67
Cohen & Steers Select Preferred and Income Fund  PSF $19.78
+1.38
$237.92M $68.22K $19.52 $19.81 $237.92M 13.73 $1.44
Argo Global Listed Infrastructure Limited  ALI.AX $2.02 1.34 USD
-0.98
$359.11M 237.68M USD $126.6K 83.79K USD $2.01 1.33 USD $2.05 1.36 USD $359.11M 237.68M USD 67.33 $0.03 0.02 USD
The Mexico Fund  MXF $16
+0.69
$236.35M $26.17K $15.9 $16.1 $236.35M 7.01 $2.28
Eaton Vance California Municipal Bond Fund  EVM $9.51
+0.11
$234.64M $53.45K $9.5 $9.61 $234.64M 28.81 $0.33
BlackRock MuniVest Fund II  MVT $11.05
+1.01
$230.52M $55.12K $10.92 $11.05 $230.52M 29.07 $0.38
Clough Global Opportunities Fund  GLO $5.38
+0.94
$230.43M $119.01K $5.36 $5.39 $230.43M 0 -$0.36
AMCIL Limited  AMH.AX $1.1 0.73 USD
0
$346.94M 229.62M USD $113.86K 75.36K USD $1.1 0.72 USD $1.12 0.74 USD $346.94M 229.62M USD 55.00 $0.02 0.01 USD
BlackRock MuniYield Quality Fund II  MQT $10.29
+0.1
$227.97M $42.93K $10.26 $10.31 $227.97M 38.11 $0.27
TCW Strategic Income Fund  TSI $4.74
+0.85
$226.5M $93.47K $4.69 $4.74 $226.5M 10.08 $0.47
Apollo Senior Floating Rate Fund  AFT $14.54
+0.21
$226.44M $66.58K $14.46 $14.59 $226.44M 6.29 $2.31
Platinum Asia Investments Limited  PAI.AX $0.92 0.61 USD
0
$340.21M 225.17M USD $187.58K 124.15K USD $0.92 0.61 USD $0.93 0.61 USD $340.21M 225.17M USD 0 $0 0 USD
MFS Municipal Income Trust  MFM $5.46
+2.06
$224.88M $138.23K $5.34 $5.46 $224.88M 182.00 $0.03
BlackRock MuniHoldings Quality Fund II  MUE $10.2
+0.39
$223.56M $38.08K $10.17 $10.21 $223.56M 28.33 $0.36
Sprott Focus Trust  FUND $7.48
+1.22
$223.26M $45.35K $7.42 $7.5 $223.26M 8.04 $0.93
Virtus Convertible & Income Fund II  NCZ $2.92
-0.17
$222.26M $664.12K $2.9 $2.94 $222.26M 29.19 $0.1
Nuveen Real Estate Income Fund  JRS $7.64
+2.14
$220.74M $162.31K $7.51 $7.69 $220.74M 5.45 $1.4
Pioneer High Income Fund  PHT $7.52
+0.94
$220.65M $124.83K $7.43 $7.52 $220.65M 6.11 $1.23
Virtus Diversified Income & Convertible Fund  ACV $21.22
+0.24
$220.06M $49.56K $21.06 $21.36 $220.06M 11.85 $1.79
Invesco Trust for Investment Grade New York Municipals  VTN $11.24
0
$218.93M $46.31K $11.23 $11.3 $218.93M 13.22 $0.85
Tortoise Midstream Energy Fund  NTG $42.95
+0.19
$218.74M $34.38K $42.5 $43.21 $218.74M 28.82 $1.49
Lazard Global Total Return and Income Fund  LGI $16.66
+0.3
$216.79M $21.12K $16.58 $16.78 $216.79M 5.48 $3.04
Canadian Banc Corp.  BK.TO $10.78 8 USD
<0.01
$292.05M 216.72M USD $42.82K 31.77K USD $10.74 7.97 USD $10.84 8.04 USD $292.05M 216.72M USD 0 -$1.81 -1.3 USD
North American Financial 15 Split Corp.  FFN.TO $5.59 4.15 USD
+0.96
$290.64M 215.67M USD $152.86K 113.43K USD $5.47 4.06 USD $5.6 4.16 USD $290.64M 215.67M USD 0 -$1.3 -0.9 USD
Japan Smaller Capitalization Fund  JOF $7.58
+0.4
$214.77M $58.52K $7.57 $7.61 $214.77M 4.59 $1.65
Volta Finance Limited  VTA.AS $5.35 5.85 USD
+0.94
$195.71M 213.93M USD $14.74K 16.11K USD $5.3 5.79 USD $5.35 5.85 USD $195.71M 213.93M USD 4.27 $1.25 1.37 USD
SWK  SWKH $16.99
+3.09
$211.91M $54.17K $16.25 $16.99 $211.91M 17.69 $0.96
Apollo Tactical Income Fund  AIF $14.64
+0.27
$211.81M $38.58K $14.6 $14.74 $211.81M 6.09 $2.4
Wells Fargo Advantage Funds - Allspring Global Dividend Opportunity Fund  EOD $4.86
-0.21
$209.93M $95.58K $4.86 $4.92 $209.93M 12.15 $0.4
Miller/Howard High Income Equity Fund  HIE $11.21
+0.54
$209.52M $22.84K $11.08 $11.3 $209.52M 112.09 $0.1
Credit Suisse High Yield Bond Fund  DHY $2.02
-1.94
$209.1M $496.39K $2.02 $2.07 $209.1M 9.18 $0.22
RAM Essential Services Property Fund  REP.AX $0.6199 0.41 USD
+1.65
$315.45M 208.78M USD $723.94K 479.14K USD $0.6099 0.4 USD $0.63 0.41 USD $315.45M 208.78M USD 0 -$0.07 -0.04 USD
Pioneer Municipal High Income Fund  MHI $9.14
0
$208.13M $29.28K $9.08 $9.25 $208.13M 228.50 $0.04
Nuveen Virginia Quality Municipal Income Fund  NPV $11.5
+0.87
$206.13M $48.79K $11.43 $11.53 $206.13M 31.94 $0.36
BlackRock Investment Quality Municipal Trust  BKN $11.97
-0.08
$205.95M $45.49K $11.97 $12.02 $205.95M 57.00 $0.21
Morgan Stanley China A Share Fund  CAF $11.75
+0.38
$204.08M $13.2K $11.71 $11.79 $204.08M 0 -$2.1
Eaton Vance Municipal Income 2028 Term Trust  ETX $18.7
-0.05
$203.55M $23.53K $18.7 $18.81 $203.55M 39.78 $0.47
Templeton Dragon Fund  TDF $8.02
+0.63
$203.33M $10.45K $7.97 $8.05 $203.33M 0 -$2.53
Neuberger Berman High Yield Strategies Fund  NHS $7.82
-0.51
$202.79M $193.12K $7.81 $7.95 $202.79M 48.87 $0.16
Aimia Inc.  AIM.TO $2.7 2 USD
-1.1
$269.13M 199.71M USD $60.68K 45.03K USD $2.65 1.97 USD $2.75 2.04 USD $269.13M 199.71M USD 0 -$2.17 -1.6 USD
Aimia  AIMFF $1.97
+0.51
$199.56M $150 $1.97 $1.97 $199.56M 0 -$1.59
RiverNorth/DoubleLine Strategic Opportunity Fund  OPP $8.65
-0.35
$198.7M $79.45K $8.64 $8.69 $198.7M 6.70 $1.29
Dividend Growth Split Corp.  DGS.TO $6.11 4.53 USD
-0.16
$266.55M 197.79M USD $41.78K 31K USD $6.08 4.51 USD $6.16 4.57 USD $266.55M 197.79M USD 8.48 $0.72 0.53 USD
Pioneer Municipal High Income Advantage Fund  MAV $8.21
+0.61
$196.34M $53.08K $8.17 $8.23 $196.34M 51.31 $0.16
BNY Mellon Municipal Bond Infrastructure Fund  DMB $10.58
+0.47
$194.74M $64.26K $10.55 $10.6 $194.74M 13.22 $0.8
Symphony International Holdings Limited  SIHL.L $0.38
+7.76
$192.51M $1.04M $0 $0 $192.51M 0 -$0.2
Pengana International Equities Limited  PIA.AX $1.13 0.75 USD
0
$290.61M 192.34M USD $103.17K 68.29K USD $1.13 0.75 USD $1.14 0.75 USD $290.61M 192.34M USD 6.64 $0.17 0.11 USD
Templeton Emerging Markets Fund  EMF $12.36
-0.37
$191.1M $11.6K $12.35 $12.6 $191.1M 11.33 $1.09
PIMCO California Municipal Income Fund II  PCK $5.85
+0.17
$188.68M $37.06K $5.85 $5.87 $188.68M 11.93 $0.49
Western Asset Inflation-Linked Income Fund  WIA $8.01
-0.06
$186.81M $21.61K $8.01 $8.07 $186.81M 0 -$0.02
Western Asset Investment Grade Defined Opportunity Trust  IGI $17.08
+0.18
$186.14M $11.42K $17.04 $17.15 $186.14M 26.68 $0.64
Aker Horizons ASA  AKH.OL $2.81 0.27 USD
+1.81
$1.94B 186.09M USD $830.16K 79.64K USD $2.75 0.26 USD $2.87 0.28 USD $1.94B 186.09M USD 0 -$6.49 -0.6 USD
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