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Página de resultados 16 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 Miller Industries MLR US $48.77
+2.03
$555.77M $43.63K $47.65 $49.01 $555.77M 36.39 $1.34
us The Taiwan Fund TWN US $96.43
+3.88
$553.70M $74.86K $93.70 $97.99 $553.70M 2.48 $38.86
Invesco Trust for Investment Grade Municipals Invesco Trust for Investment Grade Municipals VGM US $10.15
0
$550.45M $115.51K $10.13 $10.19 $550.45M 32.74 $0.31
Rayonier Advanced Materials Rayonier Advanced Materials RYAM US $8.13
+2.39
$548.28M $673.71K $7.82 $8.18 $548.28M 0 -$7.10
us Crawford & Company CRD-A US $11.22
-0.09
$546.87M $33.00K $11.00 $11.41 $546.87M 31.16 $0.36
us SandRidge Energy SD US $14.80
-3.27
$546.39M $193.75K $14.79 $15.52 $546.39M 7.21 $2.05
Invesco Municipal Trust Invesco Municipal Trust VKQ US $9.85
+0.2
$545.05M $226.84K $9.82 $9.87 $545.05M 32.83 $0.30
BlackRock MuniAssets Fund BlackRock MuniAssets Fund MUA US $10.74
+0.28
$540.81M $122.97K $10.68 $10.75 $540.81M 34.64 $0.31
Dingdong (Cayman) Dingdong (Cayman) DDL US $2.45
-2.39
$535.71M $513.71K $2.43 $2.52 $535.71M 22.27 $0.11
Oxford Industries Oxford Industries OXM US $35.92
-17.01
$535.24M $1.63M $34.83 $39.77 $535.24M 0 -$2.57
Cars.com Cars.com CARS US $9.56
-0.31
$534.43M $577.36K $9.42 $9.65 $534.43M 22.23 $0.43
us Natural Gas Services NGS US $42.42
+2.12
$534.42M $229.04K $41.80 $43.77 $534.42M 24.66 $1.72
One Liberty Properties One Liberty Properties OLP US $24.49
-0.65
$534.36M $38.03K $24.49 $25.00 $534.36M 19.59 $1.25
Shutterstock Shutterstock SSTK US $14.47
+5.62
$531.60M $389.09K $13.44 $14.51 $531.60M 0 -$0.62
us Invesco Quality Municipal Income Trust IQI US $10.02
+0.3
$529.90M $124.93K $9.95 $10.05 $529.90M 29.47 $0.34
BlackRock Health Sciences Trust BlackRock Health Sciences Trust BME US $40.89
+1.44
$528.47M $51.19K $40.25 $40.97 $528.47M 6.90 $5.92
us Ennis EBF US $20.81
-0.34
$526.46M $82.19K $20.75 $20.97 $526.46M 12.53 $1.66
us Crawford & Company CRD-B US $10.80
+1.41
$526.40M $3.01K $10.29 $10.88 $526.40M 30.00 $0.36
us CI&T CINT US $4.08
+2.77
$524.41M $61.77K $3.95 $4.12 $524.41M 13.16 $0.31
us Ginkgo Bioworks DNA US $8.00
+0.76
$522.60M $905.99K $7.63 $8.06 $522.60M 0 -$5.38
Duff & Phelps Utility and Infrastructure Fund Duff & Phelps Utility and Infrastructure Fund DPG US $14.28
+0.21
$521.06M $57.39K $14.14 $14.57 $521.06M 6.20 $2.30
us Western Asset Inflation-Linked Opportunities & Income Fund WIW US $8.49
+0.35
$519.45M $227.80K $8.45 $8.60 $519.45M 11.95 $0.71
BlackRock Enhanced International Dividend Trust BlackRock Enhanced International Dividend Trust BGY US $5.73
+2.14
$519.22M $294.11K $5.62 $5.74 $519.22M 6.36 $0.90
Tejon Ranch Tejon Ranch TRC US $19.22
-1.18
$518.80M $51.85K $19.24 $19.66 $518.80M 320.33 $0.06
Invesco California Value Municipal Income Trust Invesco California Value Municipal Income Trust VCV US $10.68
+0.09
$518.08M $76.16K $10.67 $10.70 $518.08M 41.07 $0.26
us Evolent Health EVH US $4.58
+2.46
$515.16M $1.71M $4.37 $4.62 $515.16M 0 -$4.68
us Abrdn Life Sciences Investors HQL US $16.86
+2.12
$512.68M $136.95K $16.50 $16.95 $512.68M 2.53 $6.64
Oil States Oil States OIS US $8.51
+1.43
$512.25M $487.54K $8.31 $8.56 $512.25M 0 -$1.89
Community Healthcare Trust Incorporated Community Healthcare Trust Incorporated CHCT US $17.87
+0.06
$510.58M $110.01K $17.84 $18.29 $510.58M 148.91 $0.12
Waterdrop Waterdrop WDH US $1.41
+0.71
$506.62M $63.97K $1.40 $1.42 $506.62M 6.40 $0.22
us Eaton Vance Municipal Bond Fund EIM US $9.84
+0.2
$505.51M $50.25K $9.79 $9.85 $505.51M 42.78 $0.23
us MediaAlpha MAX US $9.35
-2.5
$505.48M $333.10K $9.09 $9.57 $505.48M 14.60 $0.64
Eagle Point Credit Company Eagle Point Credit Company ECC US $3.82
-0.26
$505.04M $1.23M $3.77 $3.85 $505.04M 0 -$1.05
us Cooper-Standard CPS US $28.37
-0.56
$503.72M $159.09K $28.26 $29.31 $503.72M 0 -$2.17
Blackstone Strategic Credit 2027 Term Fund Blackstone Strategic Credit 2027 Term Fund BGB US $11.27
-0.09
$503.53M $143.38K $11.24 $11.28 $503.53M 16.82 $0.67
us PIMCO Municipal Income Fund II PML US $7.54
+0.93
$501.36M $505.51K $7.46 $7.54 $501.36M 754.00 $0.01
us Nouveau Monde Graphite NMG US $1.52
+10.95
$500.25M $1.17M $1.37 $1.52 $500.25M 0 -$0.45
us Eaton Vance Tax-Advantaged Global Dividend Opportunities Fund ETO US $30.51
+2.07
$500.00M $31.64K $29.71 $30.65 $500.00M 5.67 $5.38
Abrdn World Healthcare Fund Abrdn World Healthcare Fund THW US $12.36
+1.48
$498.90M $72.63K $12.07 $12.37 $498.90M 5.80 $2.13
RE/MAX RE/MAX RMAX US $9.01
-1.64
$495.78M $278.17K $8.80 $9.17 $495.78M 450.50 $0.02
Caleres Caleres CAL US $14.73
+7.75
$494.78M $560.08K $13.62 $14.71 $494.78M 0 $0.00
3D Systems 3D Systems DDD US $3.02
+4.5
$493.29M $6.01M $2.88 $3.07 $493.29M 6.86 $0.44
First Trust High Yield Opportunities 2027 Term Fund First Trust High Yield Opportunities 2027 Term Fund FTHY US $13.38
+0.22
$492.02M $129.17K $13.27 $13.57 $492.02M 12.99 $1.03
Camping World Camping World CWH US $7.74
+7.2
$491.64M $1.94M $7.04 $7.76 $491.64M 0 -$1.49
Voya Global Equity Dividend and Premium Opportunity Fund Voya Global Equity Dividend and Premium Opportunity Fund IGD US $6.22
+0.32
$490.56M $210.87K $6.17 $6.25 $490.56M 8.18 $0.76
PGIM Global High Yield Fund PGIM Global High Yield Fund GHY US $11.79
+0.47
$482.93M $94.31K $11.73 $11.81 $482.93M 9.43 $1.25
us Luxfer LXFR US $17.85
+1.94
$482.06M $104.07K $17.50 $18.06 $482.06M 42.50 $0.42
BlackRock Limited Duration Income Trust BlackRock Limited Duration Income Trust BLW US $12.32
+0.57
$481.52M $124.95K $12.24 $12.32 $481.52M 10.09 $1.22
Ooma Ooma OOMA US $17.32
-1.2
$475.86M $314.28K $16.70 $17.39 $475.86M 52.48 $0.33
us Titan TWI US $7.39
+2.21
$475.71M $272.26K $7.21 $7.48 $475.71M 0 -$1.37
us Genesco GCO US $42.72
+9.48
$474.33M $194.50K $39.28 $42.72 $474.33M 23.09 $1.85
us Aspen Aerogels ASPN US $5.72
+5.15
$474.06M $1.37M $5.41 $5.72 $474.06M 0 -$1.35
Invesco Senior Income Trust Invesco Senior Income Trust VVR US $3.01
+0.67
$463.31M $790.22K $2.99 $3.02 $463.31M 33.44 $0.09
us KKR Income Opportunities Fund KIO US $11.30
+0.44
$463.13M $194.48K $11.20 $11.30 $463.13M 21.32 $0.53
Aberdeen India Fund Aberdeen India Fund IFN US $10.85
+0.46
$462.77M $132.96K $10.72 $10.89 $462.77M 0 -$1.19
Nuveen Taxable Municipal Income Fund Nuveen Taxable Municipal Income Fund NBB US $15.73
+0.32
$462.38M $31.44K $15.68 $15.78 $462.38M 16.73 $0.94
Intrepid Potash Intrepid Potash IPI US $34.36
+1.66
$461.56M $139.33K $33.97 $34.98 $461.56M 30.95 $1.11
John Hancock Preferred Income Fund III John Hancock Preferred Income Fund III HPS US $14.32
+0.7
$460.66M $36.14K $14.26 $14.33 $460.66M 12.23 $1.17
us Nuveen Multi-Asset Income Fund NMAI US $13.71
+1.48
$458.27M $46.51K $13.53 $13.73 $458.27M 5.64 $2.43
KKR Real Estate Finance Trust KKR Real Estate Finance Trust KREF US $7.11
-0.56
$457.18M $842.20K $6.95 $7.20 $457.18M 0 -$1.86
us Studio City MSC US $2.33
-6.8
$448.73M $9.13K $2.20 $2.45 $448.73M 0 -$0.20
First Trust Enhanced Equity Income Fund First Trust Enhanced Equity Income Fund FFA US $22.41
+0.54
$447.93M $27.22K $22.12 $22.46 $447.93M 5.54 $4.04
Nuveen Pennsylvania Quality Municipal Income Fund Nuveen Pennsylvania Quality Municipal Income Fund NQP US $12.03
+0.08
$447.73M $192.40K $12.02 $12.05 $447.73M 0 -$0.92
us Eaton Vance Tax-Managed Buy-Write Income Fund ETB US $15.15
+0.6
$445.03M $36.15K $14.96 $15.18 $445.03M 7.42 $2.04
Bed Bath & Beyond Bed Bath & Beyond BBBY US $5.96
+7.39
$440.67M $1.64M $5.49 $5.95 $440.67M 0 -$0.91
Colony Bankcorp Colony Bankcorp CBAN US $20.78
+0.63
$439.70M $214.23K $20.48 $20.89 $439.70M 12.98 $1.60
us Farmland Partners FPI US $9.89
-0.2
$438.78M $365.27K $9.86 $10.00 $438.78M 16.76 $0.59
us The Manitowoc Company MTW US $12.21
+3.74
$438.46M $296.68K $11.84 $12.27 $438.46M 58.14 $0.21
Eaton Vance Municipal Income Trust Eaton Vance Municipal Income Trust EVN US $10.98
+1.1
$438.18M $83.50K $10.86 $11.00 $438.18M 1098.00 $0.01
us Dine Brands Global DIN US $34.33
+5.7
$435.48M $321.97K $32.00 $34.56 $435.48M 29.85 $1.15
us Weave Communications WEAV US $5.46
-2.15
$434.43M $818.37K $5.25 $5.53 $434.43M 0 -$0.32
Nine Energy Service Nine Energy Service NINE US $10.00
+0.3
$433.26M $53.01K $9.51 $10.63 $433.26M 0 -$1.20
us Emergent BioSolutions EBS US $8.39
+1.82
$432.89M $677.92K $8.11 $8.49 $432.89M 0 -$0.19
us BlueLinx BXC US $55.54
+6.34
$432.23M $56.52K $51.67 $55.59 $432.23M 0 -$0.49
us Community Health Systems CYH US $3.05
+2.69
$429.80M $1.83M $2.96 $3.08 $429.80M 0.88 $3.44
Angel Oak Financial Strategies Income Term Trust Angel Oak Financial Strategies Income Term Trust FINS US $12.82
+0.63
$428.40M $23.97K $12.69 $12.84 $428.40M 7.67 $1.67
John Hancock Preferred Income Fund John Hancock Preferred Income Fund HPI US $15.97
+0.72
$427.87M $60.44K $15.84 $16.03 $427.87M 12.37 $1.29
Build-A-Bear Workshop Build-A-Bear Workshop BBW US $33.89
+0.27
$426.35M $515.43K $33.10 $34.25 $426.35M 7.93 $4.27
us PGIM High Yield Bond Fund ISD US $12.76
+0.12
$425.47M $198.66K $12.68 $12.81 $425.47M 10.90 $1.17
us Blend Labs BLND US $1.75
+5.42
$423.70M $3.37M $1.66 $1.78 $423.70M 0 -$0.07
Orion Orion OEC US $7.51
+4.31
$423.48M $337.71K $7.28 $7.54 $423.48M 0 -$1.58
Star Group, L.P Star Group, L.P SGU US $12.72
-0.47
$417.65M $12.44K $12.69 $12.90 $417.65M 4.94 $2.57
us Gray Media GTN US $4.06
+0.5
$417.12M $737.86K $4.00 $4.13 $417.12M 0 -$1.52
Flaherty & Crumrine Dynamic Preferred and Income Fund Flaherty & Crumrine Dynamic Preferred and Income Fund DFP US $20.22
+0.3
$415.28M $63.75K $20.14 $20.26 $415.28M 10.75 $1.88
Invesco Advantage Municipal Income Trust II Invesco Advantage Municipal Income Trust II VKI US $9.31
+1.75
$413.48M $93.13K $9.17 $9.31 $413.48M 37.24 $0.25
Apartment Investment and Management Company Apartment Investment and Management Company AIV US $2.87
-0.69
$412.87M $1.88M $2.85 $2.92 $412.87M 22.07 $0.13
Valhi Valhi VHI US $14.49
+1.9
$410.10M $2.39K $14.36 $14.49 $410.10M 0 -$2.54
us Boston Omaha BOC US $13.37
-2.27
$406.51M $379.17K $13.33 $13.84 $406.51M 0 -$0.45
Methode Electronics Methode Electronics MEI US $11.42
+8.25
$404.62M $386.38K $10.71 $11.43 $404.62M 0 -$1.82
us BlackRock Energy and Resources Trust BGR US $15.84
-0.94
$403.23M $109.89K $15.80 $16.17 $403.23M 10.02 $1.58
Barnes & Noble Education Barnes & Noble Education BNED US $11.67
+7.86
$400.24M $605.45K $10.77 $11.91 $400.24M 0 -$0.29
NACCO Industries NACCO Industries NC US $52.55
-0.76
$396.26M $5.08K $52.05 $52.95 $396.26M 18.37 $2.86
BNY Mellon Strategic Municipals BNY Mellon Strategic Municipals LEO US $6.35
-0.94
$395.55M $273.72K $6.35 $6.40 $395.55M 31.75 $0.20
us SES AI Corporation SES US $1.07
+0.94
$395.13M $5.48M $1.06 $1.11 $395.13M 0 -$0.22
PGIM Short Duration High Yield Opportunities Fund PGIM Short Duration High Yield Opportunities Fund SDHY US $15.99
-0.26
$394.52M $83.04K $15.94 $16.16 $394.52M 13.32 $1.20
us Guggenheim Taxable Municipal Bond & Investment Grade Debt Trust GBAB US $14.14
+0.21
$391.43M $45.06K $14.06 $14.19 $391.43M 14.28 $0.99
BlackRock Floating Rate Income Strategies Fund BlackRock Floating Rate Income Strategies Fund FRA US $11.00
0
$389.78M $187.04K $10.93 $11.05 $389.78M 15.71 $0.70
Highland Funds I - Highland Opportunities and Income Fund Highland Funds I - Highland Opportunities and Income Fund HFRO US $7.03
-0.42
$389.51M $214.32K $6.86 $7.27 $389.51M 0 -$0.50
us Quad/Graphics QUAD US $7.50
-1.19
$386.70M $104.94K $7.46 $7.61 $386.70M 12.93 $0.58
Haverty Furniture Companies Haverty Furniture Companies HVT US $23.99
+2.57
$386.13M $88.65K $23.27 $24.07 $386.13M 19.66 $1.22
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