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Página de resultados 15 para o País: Estados Unidos Bolsa: NYSE 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)
Estados Unidos (2295)
Todas as indústrias
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 Previsão
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 Previsão
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us SunCoke Energy SXC US $9.45
+3.73
$801.86M $1.10M $9.15 $9.45 $801.86M 0 -$0.77
Onterris Onterris MEG US $22.14
+5.18
$800.80M $344.03K $21.35 $22.19 $800.80M 0 -$0.13
us Koppers KOP US $41.52
-0.38
$798.51M $78.48K $40.90 $41.95 $798.51M 11.01 $3.77
Eaton Vance Enhanced Equity Income Fund Eaton Vance Enhanced Equity Income Fund EOI US $19.40
+0.83
$795.43M $54.35K $19.17 $19.47 $795.43M 8.22 $2.36
us Winnebago Industries WGO US $28.12
+1.92
$794.83M $651.44K $27.45 $28.36 $794.83M 19.12 $1.47
Kronos Worldwide Kronos Worldwide KRO US $6.82
+4.92
$784.66M $154.96K $6.65 $6.93 $784.66M 0 -$1.16
us PennantPark Floating Rate Capital PFLT US $7.90
-2.23
$783.82M $1.07M $7.90 $8.10 $783.82M 12.53 $0.63
us Quanex Building Products NX US $16.90
+6.56
$776.18M $420.93K $15.52 $16.93 $776.18M 0 -$5.57
us Abrdn Healthcare Opportunities Fund THQ US $18.67
+0.76
$773.64M $110.12K $18.42 $18.75 $773.64M 0 -$0.70
us SmartFinancial SMBK US $44.84
+1.2
$766.70M $93.42K $43.97 $44.94 $766.70M 14.37 $3.12
us Spire Global, Inc. SPIR US $19.79
+20.89
$766.10M $2.28M $16.65 $19.98 $766.10M 12.44 $1.59
GAMCO Global Gold, Natural Resources & Income Trust GAMCO Global Gold, Natural Resources & Income Trust GGN US $4.88
+1.88
$762.38M $370.62K $4.79 $4.88 $762.38M 2.42 $2.01
Five Point Holdings, LLC Five Point Holdings, LLC FPH US $5.12
+1.99
$760.45M $186.01K $4.98 $5.20 $760.45M 8.39 $0.61
us Compass Diversified CODI US $10.08
-7.69
$758.38M $2.63M $9.61 $10.52 $758.38M 0 -$3.66
us Flaherty & Crumrine Preferred Securities Income Fund FFC US $15.72
+0.06
$757.36M $158.22K $15.67 $15.85 $757.36M 10.62 $1.48
us Beazer Homes USA BZH US $27.65
+4.73
$755.78M $344.39K $25.92 $27.70 $755.78M 0 -$0.18
loanDepot loanDepot LDI US $1.16
+5.45
$752.34M $2.02M $1.09 $1.16 $752.34M 0 -$0.35
us Park Aerospace PKE US $35.91
+6.91
$749.72M $221.46K $34.79 $36.16 $749.72M 64.12 $0.56
us Invesco Mortgage Capital IVR US $8.00
+1.27
$742.59M $1.55M $7.92 $8.03 $742.59M 10.25 $0.78
us John Hancock Financial Opportunities Fund BTO US $37.44
+0.51
$741.94M $42.63K $37.05 $37.71 $741.94M 10.60 $3.53
MarineMax MarineMax HZO US $33.62
+3.13
$740.59M $163.20K $32.72 $33.77 $740.59M 0 -$2.85
us Royce Micro-Cap Trust RMT US $13.83
+3.67
$739.61M $142.26K $13.39 $13.90 $739.61M 8.33 $1.66
Green Dot Green Dot GDOT US $12.98
+0.85
$735.71M $425.62K $12.80 $13.04 $735.71M 0 -$1.33
us Virtus Equity & Convertible Income Fund NIE US $26.44
+1.54
$732.63M $59.52K $26.07 $26.48 $732.63M 6.40 $4.13
us BlackRock MuniYield Quality Fund III MYI US $10.99
+0.27
$730.48M $201.85K $10.93 $11.02 $730.48M 28.92 $0.38
BrightSpire Capital BrightSpire Capital BRSP US $5.60
-0.53
$729.56M $1.04M $5.58 $5.70 $729.56M 0 -$0.27
Bally's Bally's BALY US $14.82
-3.45
$725.42M $61.80K $14.75 $15.64 $725.42M 0 -$16.03
Natural Grocers by Vitamin Cottage Natural Grocers by Vitamin Cottage NGVC US $31.35
-0.32
$722.33M $99.05K $31.21 $31.94 $722.33M 15.07 $2.08
us Janus JBI US $5.29
+2.72
$721.52M $1.89M $5.08 $5.31 $721.52M 17.63 $0.30
us BlackRock Multi-Sector Income Trust BIT US $12.60
+0.56
$718.99M $190.77K $12.46 $12.60 $718.99M 11.88 $1.06
us GeoPark GPRK US $11.06
+1
$715.39M $852.14K $11.03 $11.67 $715.39M 10.43 $1.06
us Nuveen Credit Strategies Income Fund JQC US $4.83
+0.42
$713.95M $416.19K $4.81 $4.85 $713.95M 17.25 $0.28
us Riskified RSKD US $4.93
+1.86
$710.10M $798.26K $4.76 $4.93 $710.10M 0 -$0.12
Hovnanian Enterprises Hovnanian Enterprises HOV US $120.87
+8
$708.25M $97.75K $110.95 $120.99 $708.25M 33.38 $3.62
Adams Natural Resources Fund Adams Natural Resources Fund PEO US $25.63
-1.84
$704.71M $85.52K $25.61 $26.39 $704.71M 12.62 $2.03
us CBRE Global Real Estate Income Fund IGR US $4.64
+1.09
$702.50M $372.98K $4.59 $4.65 $702.50M 38.66 $0.12
us Sky Harbour SKYH US $9.12
-1.41
$697.93M $92.26K $9.06 $9.28 $697.93M 76.00 $0.12
us Brookfield Real Assets Income Fund RA US $12.59
-0.1
$695.66M $172.37K $12.54 $12.64 $695.66M 11.24 $1.12
Safe Bulkers Safe Bulkers SB US $6.75
+2.58
$690.15M $503.17K $6.68 $6.82 $690.15M 22.50 $0.30
us BlackRock Utilities, Infrastructure & Power Opportunities Trust BUI US $28.11
+1.12
$689.33M $82.59K $27.90 $28.11 $689.33M 6.24 $4.50
us Western Asset Diversified Income Fund WDI US $13.27
+0.61
$688.87M $211.13K $13.14 $13.31 $688.87M 9.61 $1.38
The Marcus The Marcus MCS US $22.32
+5.73
$685.86M $328.84K $21.36 $22.33 $685.86M 50.72 $0.44
us Summit Hotel Properties INN US $6.31
+3.1
$683.78M $1.62M $6.15 $6.29 $683.78M 0 -$0.28
us Velocity Financial VEL US $17.32
-0.63
$679.90M $77.52K $17.23 $17.68 $679.90M 6.16 $2.81
us Heritage Insurance HRTG US $22.32
+0.54
$675.71M $262.89K $22.24 $22.76 $675.71M 3.42 $6.52
us Betterware de México, S.A.P.I. de C.V BWMX US $18.13
-1.31
$675.23M $34.71K $17.87 $18.43 $675.23M 9.90 $1.83
us DoubleLine Yield Opportunities Fund DLY US $13.87
+0.07
$673.24M $172.60K $13.80 $13.89 $673.24M 23.91 $0.58
us PagerDuty PD US $8.77
-0.34
$672.22M $1.68M $8.44 $8.85 $672.22M 4.23 $2.07
Nuveen California AMT-Free Quality Municipal Income Fund Nuveen California AMT-Free Quality Municipal Income Fund NKX US $12.56
+0.16
$671.25M $226.72K $12.45 $12.57 $671.25M 29.20 $0.43
us Ardmore Shipping ASC US $16.38
-0.3
$668.35M $625.55K $16.36 $17.11 $668.35M 12.40 $1.32
us PIMCO Income Strategy Fund II PFN US $6.77
+0.32
$667.52M $215.91K $6.75 $6.79 $667.52M 13.01 $0.52
Noah Noah NOAH US $10.12
+0.2
$663.94M $50.02K $9.90 $10.28 $663.94M 8.95 $1.13
us TPG RE Finance Trust TRTX US $8.58
0
$663.30M $586.15K $8.46 $8.64 $663.30M 13.40 $0.64
Hippo Hippo HIPO US $25.47
-0.89
$663.13M $66.81K $25.26 $25.88 $663.13M 5.78 $4.40
us BlackRock Enhanced Global Dividend Trust BOE US $11.86
+1.28
$659.42M $143.35K $11.70 $11.94 $659.42M 6.48 $1.83
BlackRock MuniHoldings New Jersey Quality Fund BlackRock MuniHoldings New Jersey Quality Fund MUJ US $12.39
0
$658.96M $87.97K $12.36 $12.45 $658.96M 26.93 $0.46
us Abrdn Income Credit Strategies Fund ACP US $5.25
-0.38
$658.72M $285.40K $5.24 $5.30 $658.72M 15.90 $0.33
us Invesco Municipal Opportunity Trust VMO US $9.75
+0.62
$657.55M $340.54K $9.69 $9.74 $657.55M 34.82 $0.28
us Third Coast Bancshares TCBX US $39.45
-1.6
$654.56M $95.16K $39.21 $40.28 $654.56M 10.14 $3.89
us BlackRock Core Bond Trust BHK US $8.99
+0.78
$649.30M $308.54K $8.92 $8.99 $649.30M 12.66 $0.71
us Redwood Trust RWT US $5.18
+1.37
$648.62M $1.50M $5.07 $5.21 $648.62M 0 -$0.80
us Cannae CNNE US $14.65
+2.23
$643.73M $222.73K $14.25 $14.70 $643.73M 0 -$7.46
us Franklin BSP Realty Trust FBRT US $8.25
-1.2
$634.94M $832.56K $8.21 $8.41 $634.94M 16.17 $0.51
us Hyster-Yale HY US $35.35
+4.28
$633.33M $65.18K $34.01 $35.34 $633.33M 0 -$5.60
us John Hancock Premium Dividend Fund PDT US $12.84
+0.33
$631.54M $96.19K $12.79 $12.88 $631.54M 9.23 $1.39
us MNTN MNTN US $8.53
0
$630.57M $762.87K $8.11 $8.53 $630.57M 6.13 $1.39
Utz Brands Utz Brands UTZ US $7.12
+0.42
$630.38M $1.17M $6.96 $7.13 $630.38M 0 -$0.10
Carriage Services Carriage Services CSV US $39.65
-0.87
$629.34M $170.84K $38.48 $39.92 $629.34M 14.41 $2.75
Sturm, Ruger & Company Sturm, Ruger & Company RGR US $39.30
+1.05
$626.61M $93.76K $38.99 $39.50 $626.61M 0 -$0.73
Chatham Lodging Trust Chatham Lodging Trust CLDT US $12.68
+3.76
$622.34M $394.99K $12.24 $12.68 $622.34M 634.00 $0.02
us VTEX VTEX US $3.60
+1.69
$613.75M $870.01K $3.51 $3.62 $613.75M 27.69 $0.13
BlackRock MuniHoldings Fund BlackRock MuniHoldings Fund MHD US $11.75
+0.69
$612.66M $192.18K $11.71 $11.80 $612.66M 37.90 $0.31
us BlackRock Debt Strategies Fund DSU US $9.72
+0.21
$611.69M $247.34K $9.69 $9.74 $611.69M 14.08 $0.69
W&T Offshore W&T Offshore WTI US $4.11
-3.97
$611.48M $5.64M $4.08 $4.46 $611.48M 0 -$0.95
us Ranpak Holdings Corp. PACK US $7.14
+6.25
$610.79M $318.64K $6.76 $7.17 $610.79M 0 -$0.44
Core Laboratories Core Laboratories CLB US $13.25
-1.27
$610.78M $499.81K $13.18 $13.62 $610.78M 21.72 $0.61
us Western Asset Emerging Markets Debt Fund EMD US $10.50
+1.35
$610.37M $57.53K $10.41 $10.53 $610.37M 6.03 $1.74
PAR Technology PAR Technology PAR US $14.62
+8.46
$603.02M $1.26M $13.02 $14.65 $603.02M 0 -$1.87
us N-able NABL US $3.19
+3.91
$600.93M $3.42M $2.94 $3.23 $600.93M 0 -$0.05
Cohen & Steers Limited Duration Preferred and Income Fund, Inc. Cohen & Steers Limited Duration Preferred and Income Fund, Inc. LDP US $20.60
+0.05
$599.03M $42.71K $20.42 $20.70 $599.03M 9.32 $2.21
Virgin Galactic Virgin Galactic SPCE US $5.73
+21.66
$598.51M $115.05M $4.63 $6.17 $598.51M 0 -$3.87
us Invesco Value Municipal Income Trust IIM US $12.66
+0.08
$596.10M $84.02K $12.60 $12.71 $596.10M 31.64 $0.40
us Nuveen Municipal Credit Opportunities Fund NMCO US $10.76
+0.28
$595.99M $120.54K $10.73 $10.78 $595.99M 538.00 $0.02
us Abrdn Asia-Pacific Income Fund FAX US $14.37
+1.48
$593.23M $152.52K $14.19 $14.39 $593.23M 16.32 $0.88
us Mistras MG US $18.63
+2.53
$592.74M $79.44K $18.09 $18.69 $592.74M 26.61 $0.70
us Forum Energy FET US $52.39
+1
$592.23M $100.20K $51.37 $52.76 $592.23M 0 -$0.51
VAALCO Energy VAALCO Energy EGY US $5.45
-1.98
$583.22M $881.23K $5.42 $5.64 $583.22M 0 -$1.37
us AdvanSix ASIX US $21.49
+0.28
$579.35M $142.78K $21.40 $21.89 $579.35M 59.69 $0.36
us Neuberger Berman Income Funds - Neuberger Energy Infrastructure and Income Fund NML US $10.14
-2.59
$574.52M $174.33K $10.05 $10.45 $574.52M 112.66 $0.09
us The Gabelli Utility Trust GUT US $6.38
+0.47
$571.65M $308.75K $6.33 $6.39 $571.65M 11.81 $0.54
Orion Orion ORN US $14.05
+5.48
$568.73M $233.57K $13.50 $14.01 $568.73M 63.86 $0.22
HUYA HUYA HUYA US $2.47
0
$567.58M $718.42K $2.44 $2.50 $567.58M 0 -$0.08
Ethan Allen Interiors Ethan Allen Interiors ETD US $22.13
+3.65
$563.13M $505.11K $21.26 $22.15 $563.13M 14.00 $1.58
us Insteel Industries IIIN US $28.90
+3.88
$561.62M $264.66K $27.54 $28.90 $561.62M 13.31 $2.17
Advent Convertible and Income Fund Advent Convertible and Income Fund AVK US $12.72
+1.11
$561.57M $163.84K $12.54 $12.75 $561.57M 4.72 $2.69
us Universal Health Realty Income Trust UHT US $40.46
+0.47
$561.41M $133.11K $40.00 $41.09 $561.41M 31.60 $1.28
Western Asset Managed Municipals Fund Western Asset Managed Municipals Fund MMU US $10.27
-0.1
$560.94M $33.27K $10.23 $10.32 $560.94M 256.75 $0.04
us Eaton Vance Risk-Managed Diversified Equity Income Fund ETJ US $8.31
+0.36
$559.28M $128.32K $8.22 $8.34 $559.28M 11.22 $0.74
Phreesia Phreesia PHR US $9.05
-0.98
$559.06M $769.40K $8.76 $9.19 $559.06M 56.56 $0.16
Brandywine Realty Trust Brandywine Realty Trust BDN US $3.21
0
$557.62M $1.07M $3.17 $3.27 $557.62M 0 -$1.15
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