$3.43T
Capitalização total de mercado
$74.32B
Volume total
BTC 61.61%     ETH 8.80%
Dominância

Página de resultados 2 para o Setor de Atividade: Serviços Financeiros Ramo de Atividade: Gestão de Ativos Mercado de Ações - Cotações e Preços

Lista de todas as ações e títulos com preços, capitalizações de mercado, P/E (índice preço/lucro) e EPS (lucro por ação)
Serviços Financeiros (1911)
Nome Nome Preço Preço 24h%
7d Gráfico
24h% & 7d
M.Cap Capitalização de Mercado VOL Volume Baixa 24h Alta 24h Capitalização de Mercado Índice P/L LPA
Nome Nome Preço Preço 24h%
7d Gráfico
24h% & 7d
M.Cap Capitalização de Mercado VOL Volume Baixa 24h Alta 24h Capitalização de Mercado Índice P/L LPA
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Cohen & Steers Infrastructure Fund  UTF $26.34
+0.34
$2.54B $127.62K $26.23 $26.44 $2.54B 9.27 $2.84
Nuveen AMT-Free Municipal Credit Income Fund  NVG $11.82
-0.25
$2.52B $242.34K $11.8 $11.85 $2.52B 4.54 $2.6
PIMCO Corporate & Income Opportunity Fund  PTY $13.8
-0.22
$2.51B $601.48K $13.77 $13.89 $2.51B 9.71 $1.42
Shaanxi International Trust Co.,Ltd.  000563.SZ $3.45 0.48 USD
+0.88
$17.64B 2.45B USD $52.33M 7.28M USD $3.41 0.47 USD $3.46 0.48 USD $17.64B 2.45B USD 12.77 $0.27 0.04 USD
Adams Diversified Equity Fund  ADX $20.78
+0.92
$2.44B $228.23K $20.63 $20.79 $2.44B 4.49 $4.62
Guggenheim Strategic Opportunities Fund  GOF $14.84
+0.07
$2.41B $692.53K $14.81 $14.88 $2.41B 7.00 $2.12
Eaton Vance Tax-Managed Diversified Equity Income Fund  ETY $15.19
+1.27
$2.39B $132.33K $15.06 $15.2 $2.39B 3.49 $4.35
Fairfax India  FFXDF $17.73
-0.11
$2.39B $18.64K $17.7 $17.89 $2.39B 59.09 $0.3
Fairfax India Holdings Corporation  FIH-U.TO $17.72
-1.61
$2.39B $15.68K $17.68 $17.81 $2.39B 59.06 $0.3
Kinnevik AB  KINV-B.ST $82.7 8.07 USD
+1.47
$23.94B 2.34B USD $326K 31.82K USD $81.66 7.97 USD $82.94 8.1 USD $23.94B 2.34B USD 0 -$19.57 -1.9 USD
GCM Grosvenor  GCMG $12.5
+0.56
$2.34B $269.7K $12.42 $12.59 $2.34B 89.28 $0.14
Nuveen Municipal Credit Income Fund  NZF $11.83
-0.25
$2.29B $335.07K $11.82 $11.86 $2.29B 5.07 $2.33
The Gabelli Dividend & Income Trust  GDV $25.11
+1.09
$2.24B $94.54K $25.01 $25.17 $2.24B 7.27 $3.45
Antin Infrastructure Partners SAS  ANTIN.PA $11.26 12.31 USD
-0.35
$2.01B 2.2B USD $5.44K 5.95K USD $11.22 12.26 USD $11.36 12.42 USD $2.01B 2.2B USD 17.32 $0.65 0.71 USD
Sixth Street Specialty Lending  TSLX $23.38
+0.39
$2.2B $258.03K $23.33 $23.45 $2.2B 12.37 $1.89
Bure Equity AB (publ)  BURE.ST $295.8 28.87 USD
+1.3
$21.93B 2.14B USD $23.93K 2.34K USD $292.4 28.54 USD $298 29.09 USD $21.93B 2.14B USD 206.85 $1.43 0.14 USD
Brookfield Business  BBUC $29.64
+1.37
$2.13B $72.02K $29.26 $30.14 $2.13B 0 -$10.93
Anima Holding SpA  ANIM.MI $5.97 6.53 USD
+0.59
$1.95B 2.13B USD $40.38K 44.14K USD $5.92 6.47 USD $5.97 6.53 USD $1.95B 2.13B USD 7.95 $0.75 0.82 USD
Patria Investments  PAX $13.43
+1.21
$2.12B $735.87K $13.32 $13.53 $2.12B 28.57 $0.47
Oxford Lane Capital  OXLC $4.49
+0.9
$2.1B $4.48M $4.47 $4.52 $2.1B 14.96 $0.3
Kayne Anderson Energy Infrastructure Fund  KYN $12.36
+0.32
$2.09B $210.85K $12.32 $12.46 $2.09B 2.24 $5.5
Anima Holding SpA  0QTI.IL $5.91 6.46 USD
-15.36
$1.88B 2.06B USD $40 43.73 USD $5.91 6.46 USD $5.91 6.46 USD $1.88B 2.06B USD 16.41 $0.36 0.39 USD
Canoe EIT Income Fund  EIT-UN.TO $15.49 11.49 USD
+0.26
$2.75B 2.04B USD $97.97K 72.7K USD $15.45 11.46 USD $15.5 11.5 USD $2.75B 2.04B USD 20.93 $0.74 0.55 USD
Cornerstone Strategic Investment Fund  CLM $7.95
+0.89
$2.04B $1.37M $7.91 $7.98 $2.04B 5.19 $1.53
Peugeot Invest Société anonyme  PEUG.PA $74.4 81.33 USD
+0.4
$1.85B 2.02B USD $823 899.65 USD $74.1 81 USD $74.8 81.77 USD $1.85B 2.02B USD 12.67 $5.87 6.42 USD
Storskogen Group AB (publ)  STOR-B.ST $11.91 1.16 USD
+3.25
$20.08B 1.96B USD $1.83M 178.21K USD $11.6 1.13 USD $12.04 1.17 USD $20.08B 1.96B USD 595.25 $0.02 0.001 USD
Liberty All-Star Equity Fund  USA $6.74
+1.2
$1.95B $765.21K $6.68 $6.75 $1.95B 7.40 $0.91
Sichuan Hexie Shuangma Co., Ltd.  000935.SZ $17.96 2.5 USD
+1.35
$13.71B 1.91B USD $9.47M 1.32M USD $17.7 2.46 USD $18.19 2.53 USD $13.71B 1.91B USD 32.65 $0.55 0.08 USD
BH Macro USD Ord  BHMU.L $4
-0.5
$1.87B $25.38K $3.99 $4.01 $1.87B 26.66 $0.15
The Gabelli Equity Trust  GAB $5.79
+0.17
$1.78B $402.34K $5.78 $5.83 $1.78B 8.77 $0.66
Storskogen Group AB (publ)  0AA9.IL $11.97 1.17 USD
-70.53
$18.2B 1.78B USD $34.74K 3.39K USD $11.79 1.15 USD $11.97 1.17 USD $18.2B 1.78B USD 14.95 $0.8 0.08 USD
Nuveen Municipal Value Fund  NUV $8.54
0
$1.77B $269.49K $8.52 $8.55 $1.77B 8.89 $0.96
Royce Small-Cap Trust  RVT $15.05
+1.14
$1.77B $201.4K $14.95 $15.09 $1.77B 11.14 $1.35
Gimv NV  GIMB.BR $44.85 49.03 USD
+0.45
$1.6B 1.75B USD $6.13K 6.7K USD $44.7 48.86 USD $44.95 49.14 USD $1.6B 1.75B USD 6.00 $7.47 8.17 USD
Eaton Vance Tax-Advantaged Dividend Income Fund  EVT $23.49
+0.64
$1.75B $81.23K $23.42 $23.61 $1.75B 3.54 $6.63
BlackRock Innovation and Growth Term Trust  BIGZ $8.06
-0.37
$1.72B $727.43K $8.03 $8.16 $1.72B 9.05 $0.89
Cohen & Steers Quality Income Realty Fund  RQI $12.51
+0.56
$1.68B $217.93K $12.44 $12.53 $1.68B 16.90 $0.74
MFF Capital Investments Limited  MFF.AX $4.3 2.85 USD
-0.23
$2.52B 1.67B USD $121.34K 80.31K USD $4.29 2.84 USD $4.33 2.87 USD $2.52B 1.67B USD 3.64 $1.18 0.78 USD
Tri-Continental  TY $31.61
+0.73
$1.64B $44.75K $31.53 $31.96 $1.64B 5.09 $6.21
Sprott Inc.  SII.TO $84.81 62.93 USD
+0.05
$2.19B 1.62B USD $40.23K 29.85K USD $83.91 62.27 USD $85.24 63.25 USD $2.19B 1.62B USD 32.12 $2.64 1.96 USD
Metrics Master Income Trust  MXT.AX $2 1.32 USD
0
$2.44B 1.62B USD $2.23M 1.48M USD $2 1.32 USD $2.01 1.33 USD $2.44B 1.62B USD 12.50 $0.16 0.11 USD
Sprott  SII $61.9
-0.13
$1.6B $141.41K $61.48 $62.2 $1.6B 32.07 $1.93
Nuveen California Quality Municipal Income Fund  NAC $10.91
+0.18
$1.58B $269.91K $10.86 $10.93 $1.58B 14.16 $0.77
Eaton Vance Tax-Managed Buy-Write Opportunities Fund  ETV $13.46
+0.3
$1.57B $379.71K $13.37 $13.57 $1.57B 4.60 $2.92
Hainan Haide Capital Management Co., Ltd.  000567.SZ $5.78 0.8 USD
+1.23
$11.3B 1.57B USD $14.42M 2M USD $5.68 0.79 USD $5.81 0.81 USD $11.3B 1.57B USD 57.80 $0.1 0.01 USD
Insignia Financial Ltd.  IFL.AX $3.49 2.31 USD
-3.59
$2.34B 1.55B USD $2.52M 1.67M USD $3.47 2.3 USD $3.64 2.41 USD $2.34B 1.55B USD 0 -$0.23 -0.1 USD
Eaton Vance Tax-Advantaged Global Dividend Income Fund  ETG $20.27
+0.7
$1.55B $99.3K $20.18 $20.3 $1.55B 3.95 $5.13
BlackRock Enhanced Equity Dividend Trust  BDJ $8.6
+0.94
$1.52B $363.45K $8.57 $8.62 $1.52B 9.77 $0.88
Tamburi Investment Partners S.p.A.  0G9J.IL $8.06 8.81 USD
+0.12
$1.37B 1.5B USD $36 39.35 USD $0 0 USD $0 0 USD $1.37B 1.5B USD 9.95 $0.81 0.89 USD
BlackRock Corporate High Yield Fund  HYT $9.67
-0.41
$1.49B $551.5K $9.66 $9.71 $1.49B 11.11 $0.87
Generation Development Group Limited  GDG.AX $5.65 3.74 USD
-2.59
$2.22B 1.47B USD $1.11M 732.42K USD $5.58 3.69 USD $5.8 3.84 USD $2.22B 1.47B USD 20.92 $0.27 0.18 USD
Prospect Capital  PSEC $3.25
+1.88
$1.47B $2.1M $3.19 $3.25 $1.47B 0 -$0.86
Tamburi Investment Partners S.p.A.  TIP.MI $8.09 8.84 USD
+0.75
$1.33B 1.45B USD $17.09K 18.69K USD $8.02 8.77 USD $8.09 8.84 USD $1.33B 1.45B USD 38.52 $0.21 0.23 USD
Nuveen S&P 500 Buy-Write Income Fund  BXMX $13.68
+0.81
$1.42B $127.72K $13.63 $13.69 $1.42B 6.16 $2.22
Blackrock Municipal 2030 Target Term Trust  BTT $21.52
+0.19
$1.41B $57.72K $21.44 $21.53 $1.41B 35.86 $0.6
Perpetual Limited  PPT.AX $18.47 12.22 USD
+1.26
$2.12B 1.4B USD $294.51K 194.92K USD $18.13 12 USD $18.5 12.24 USD $2.12B 1.4B USD 0 -$4.41 -2.9 USD
BlackRock Science and Technology Term Trust  BSTZ $19.62
+0.31
$1.38B $251.27K $19.58 $19.71 $1.38B 2.49 $7.86
Central Securities  CET $47.38
+0.53
$1.37B $24.22K $47.12 $47.49 $1.37B 4.66 $10.15
DoubleLine Income Solutions Fund  DSL $12.29
-0.08
$1.37B $220.43K $12.27 $12.34 $1.37B 11.27 $1.09
Goldman Sachs BDC  GSBD $11.51
+1.5
$1.35B $407.09K $11.38 $11.54 $1.35B 26.76 $0.43
Ratos AB (publ)  RATO-B.ST $40.94 4 USD
+2.35
$13.59B 1.33B USD $153.43K 14.98K USD $40.1 3.91 USD $41 4 USD $13.59B 1.33B USD 28.04 $1.46 0.14 USD
The Gabelli Equity Trust Inc.  GAB-PH $20.95
+0.26
$1.32B $1.36K $20.92 $21.11 $1.32B 17.82 $1.18
BlackRock Science and Technology Trust  BST $37.4
+0.54
$1.3B $93.09K $37.22 $37.57 $1.3B 4.75 $7.86
General American Investors Company  GAM $54.84
+0.64
$1.29B $8.69K $54.52 $54.93 $1.29B 5.07 $10.81
Nuveen Nasdaq 100 Dynamic Overwrite Fund  QQQX $25.98
+3.38
$1.27B $827.13K $25.54 $26.14 $1.27B 3.96 $6.55
Eaton Vance Enhanced Equity Income Fund II  EOS $23.43
+1.17
$1.24B $64.11K $23.23 $23.5 $1.24B 4.41 $5.31
Bradespar S.A.  BRAP3.SA $14.74 2.99 USD
-0.14
$6.08B 1.23B USD $0 0 USD $0 0 USD $0 0 USD $6.08B 1.23B USD 5.28 $2.79 0.57 USD
Bradespar S.A.  BRAP4.SA $15.87 3.22 USD
+0.83
$6.08B 1.23B USD $0 0 USD $0 0 USD $0 0 USD $6.08B 1.23B USD 5.68 $2.79 0.57 USD
Tetragon Financial Ord  TFG.L $13.8
0
$1.22B $1.44M $0 $0 $1.22B 3.50 $3.94
Tetragon Financial Ord  TFG.AS $13.55
-2.52
$1.2B $889 $13.55 $13.8 $1.2B 3.43 $3.94
Virtus Investment Partners  VRTS $170.53
+0.91
$1.18B $91.3K $169.97 $173 $1.18B 10.12 $16.85
CHINA EB LTD  0165.HK $5.42 0.69 USD
+5.24
$9.13B 1.17B USD $79.08M 10.11M USD $5.23 0.67 USD $5.49 0.7 USD $9.13B 1.17B USD 0 -$1.13 -0.1 USD
Bridge Inv  BRDG $9.41
+2.62
$1.16B $520.87K $9.3 $9.49 $1.16B 0 -$0.48
Eaton Vance Limited Duration Income Fund  EVV $10.02
-0.4
$1.16B $181.79K $10.01 $10.06 $1.16B 14.11 $0.71
Virtus Dividend, Interest & Premium Strategy Fund  NFJ $12.27
+0.99
$1.16B $112.73K $12.23 $12.32 $1.16B 8.95 $1.37
New Mountain Finance  NMFC $10.77
+0.84
$1.16B $329.32K $10.68 $10.79 $1.16B 10.87 $0.99
WAM Capital Limited  WAM.AX $1.56 1.03 USD
-0.32
$1.75B 1.16B USD $931.34K 616.41K USD $1.56 1.03 USD $1.57 1.04 USD $1.75B 1.16B USD 6.47 $0.24 0.16 USD
Capital Southwest  CSWC $21.06
+1.4
$1.15B $367.35K $20.85 $21.09 $1.15B 14.32 $1.47
Shanghai Aj Group Co.,Ltd  600643.SS $5.18 0.72 USD
+0.97
$8.25B 1.15B USD $18.69M 2.6M USD $5.12 0.71 USD $5.22 0.73 USD $8.25B 1.15B USD 0 -$0.34 -0.04 USD
Nuveen Municipal High Income Opportunity Fund  NMZ $10.25
-1.16
$1.14B $449.15K $10.21 $10.36 $1.14B 4.36 $2.35
Altamir Ord  LTA.PA $28.4 31.05 USD
+0.71
$1.04B 1.14B USD $40 43.73 USD $28.4 31.05 USD $28.4 31.05 USD $1.04B 1.14B USD 55.68 $0.51 0.56 USD
Nuveen Floating Rate Income Fund  JFR $8.3
-0.12
$1.11B $358.62K $8.3 $8.33 $1.11B 8.64 $0.96
First Trust Intermediate Duration Preferred & Income Fund  FPF $18.25
+0.66
$1.11B $90.87K $18.1 $18.25 $1.11B 4.01 $4.55
P10  PX $9.87
-0.9
$1.11B $512.38K $9.87 $10.17 $1.11B 61.68 $0.16
WAM Leaders Limited  WLE.AX $1.21 0.8 USD
-0.41
$1.66B 1.1B USD $1.11M 737.48K USD $1.21 0.8 USD $1.22 0.81 USD $1.66B 1.1B USD 40.33 $0.03 0.02 USD
Cohen & Steers Tax-Advantaged Preferred Securities and Income Fund  PTA $19.8
+0.66
$1.09B $117.03K $19.65 $19.81 $1.09B 4.53 $4.37
AMTD IDEA Group  AMTD $1.09
+1.87
$1.09B $34.98K $1.07 $1.13 $1.09B 1.51 $0.72
Norte Grande S.A.  NORTEGRAN.SN $6.03 0.0061 USD
-0.23
$1.06T 1.08B USD $0 0 USD $0 0 USD $0 0 USD $1.06T 1.08B USD 12.82 $0.47 0.0004 USD
Creades AB  CRED-A.ST $80.85 7.89 USD
+1.76
$10.98B 1.07B USD $44.67K 4.36K USD $79.6 7.77 USD $81.35 7.94 USD $10.98B 1.07B USD 7.73 $10.45 1.02 USD
Cohen & Steers REIT and Preferred Income Fund  RNP $21.95
+0.64
$1.05B $93.81K $21.83 $22 $1.05B 11.43 $1.92
MLP SE  MLP.DE $8.61 9.41 USD
-1.37
$940.64M 1.03B USD $12.14K 13.27K USD $8.61 9.41 USD $8.76 9.58 USD $940.64M 1.03B USD 13.66 $0.63 0.69 USD
PennantPark Floating Rate Capital  PFLT $10.35
+1.07
$1.03B $617.01K $10.27 $10.36 $1.03B 12.17 $0.85
Carlyle Secured Lending  CGBD $14.02
+0.86
$1.02B $336.78K $13.87 $14.12 $1.02B 10.70 $1.31
Bain Capital Specialty Finance  BCSF $15.64
+1.23
$1.01B $147.79K $15.45 $15.67 $1.01B 8.98 $1.74
BlackRock Credit Allocation Income Trust  BTZ $10.72
-0.09
$1B $148.98K $10.68 $10.73 $1B 15.53 $0.69
BioPharma Credit Ord  BPCR.L $0.88
+1.05
$999.64M $1.02M $0.88 $0.89 $999.64M 8.83 $0.1
BlackRock Taxable Municipal Bond Trust  BBN $15.7
-0.7
$970.14M $183.2K $15.69 $15.82 $970.14M 82.63 $0.19
BlackRock MuniHoldings California Quality Fund  MUC $10.3
-0.19
$970.09M $253.95K $10.27 $10.41 $970.09M 171.66 $0.06
Eagle Point Credit Company  ECC $7.91
+1.93
$950.65M $1.5M $7.81 $7.92 $950.65M 9.19 $0.86
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
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