Página de resultados 18 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)
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| 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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|
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|
|
XAI Floating Rate & Alternative Income Trust
XFLT
US
|
$17.88 — |
-0.17
|
$272.33M — | $85.32K — | $17.83 — | $18.01 — | $272.33M — | 0 | -$3.90 — | ||
Eaton Vance National Municipal Opportunities Trust
EOT
US
|
$17.25 — |
+0.88
|
$269.53M — | $35.78K — | $17.17 — | $17.25 — | $269.53M — | 23.95 | $0.72 — | ||
Putnam Managed Municipal Income Trust
PMM
US
|
$6.27 — |
-0.32
|
$268.57M — | $90.35K — | $6.27 — | $6.33 — | $268.57M — | 34.83 | $0.18 — | ||
Templeton Dragon Fund
TDF
US
|
$10.61 — |
-0.38
|
$267.18M — | $69.52K — | $10.40 — | $10.85 — | $267.18M — | 3.49 | $3.04 — | ||
Clearwater Paper
CLW
US
|
$16.50 — |
-0.3
|
$266.07M — | $127.51K — | $16.06 — | $16.75 — | $266.07M — | 0 | -$3.72 — | ||
Nu Skin Enterprises
NUS
US
|
$5.44 — |
+0.18
|
$264.11M — | $641.05K — | $5.30 — | $5.51 — | $264.11M — | 5.03 | $1.08 — | ||
NexPoint Diversified Real Estate Trust
NXDT
US
|
$5.10 — |
+0.59
|
$263.79M — | $52.69K — | $5.02 — | $5.19 — | $263.79M — | 0 | -$2.47 — | ||
SITE Centers
SITC
US
|
$5.01 — |
-0.4
|
$262.90M — | $269.26K — | $5.01 — | $5.08 — | $262.90M — | 1.50 | $3.32 — | ||
PIMCO Strategic Income Fund
RCS
US
|
$5.51 — |
+0.92
|
$260.20M — | $66.82K — | $5.46 — | $5.52 — | $260.20M — | 7.15 | $0.77 — | ||
Stellus Capital Inv
SCM
US
|
$8.85 — |
+0.8
|
$256.18M — | $171.57K — | $8.78 — | $8.97 — | $256.18M — | 10.66 | $0.83 — | ||
Nuveen AMT-Free Municipal Value Fund
NUW
US
|
$14.16 — |
+0.14
|
$254.19M — | $34.41K — | $14.05 — | $14.18 — | $254.19M — | 28.32 | $0.50 — | ||
Allspring Multi-Sector Income Fund
ERC
US
|
$8.93 — |
+0.59
|
$250.52M — | $41.45K — | $8.86 — | $8.96 — | $250.52M — | 9.30 | $0.96 — | ||
Clough Global Opportunities Fund
GLO
US
|
$5.85 — |
+1.39
|
$250.18M — | $92.75K — | $5.77 — | $5.88 — | $250.18M — | 5.22 | $1.12 — | ||
MFS Charter Income Trust
MCR
US
|
$5.95 — |
+0.34
|
$248.05M — | $43.84K — | $5.90 — | $5.98 — | $248.05M — | 14.16 | $0.42 — | ||
First Trust Senior Floating Rate Income Fund II
FCT
US
|
$9.54 — |
-0.31
|
$247.88M — | $127.14K — | $9.53 — | $9.60 — | $247.88M — | 14.67 | $0.65 — | ||
PennantPark Inv
PNNT
US
|
$3.79 — |
+0.8
|
$247.47M — | $625.06K — | $3.74 — | $3.81 — | $247.47M — | 18.04 | $0.21 — | ||
TPG Mortgage Investment Trust
MITT
US
|
$7.75 — |
+0.13
|
$246.48M — | $158.75K — | $7.67 — | $7.80 — | $246.48M — | 18.45 | $0.42 — | ||
MFS Multimarket Income Trust
MMT
US
|
$4.49 — |
+0.27
|
$246.33M — | $93.76K — | $4.47 — | $4.50 — | $246.33M — | 10.93 | $0.41 — | ||
Nuveen Real Estate Income Fund
JRS
US
|
$8.50 — |
+0.12
|
$245.59M — | $107.86K — | $8.47 — | $8.57 — | $245.59M — | 0 | -$0.15 — | ||
Credit Suisse High Yield Bond Fund
DHY
US
|
$1.75 — |
0
|
$241.76M — | $269.15K — | $1.74 — | $1.76 — | $241.76M — | 14.58 | $0.12 — | ||
Eagle Point Income Company
EIC
US
|
$10.22 — |
-0.49
|
$239.49M — | $55.64K — | $10.13 — | $10.29 — | $239.49M — | 0 | -$0.09 — | ||
INNOVATE Corp.
VATE
US
|
$17.30 — |
+7.79
|
$236.00M — | $51.24K — | $15.96 — | $17.36 — | $236.00M — | 0 | -$4.24 — | ||
Cable One
CABO
US
|
$41.57 — |
-3.48
|
$235.82M — | $173.37K — | $40.89 — | $44.99 — | $235.82M — | 0 | -$57.54 — | ||
Cohen & Steers Select Preferred and Income Fund
PSF
US
|
$19.49 — |
+0.21
|
$234.43M — | $18.99K — | $19.31 — | $19.51 — | $234.43M — | 9.32 | $2.09 — | ||
Valens Semiconductor
VLN
US
|
$2.21 — |
+5.24
|
$233.65M — | $2.32M — | $2.07 — | $2.23 — | $233.65M — | 0 | -$0.31 — | ||
Franklin Limited Duration Income Trust
FTF
US
|
$5.78 — |
+0.17
|
$233.54M — | $286.55K — | $5.72 — | $5.80 — | $233.54M — | 13.76 | $0.42 — | ||
CS Disco
LAW
US
|
$3.58 — |
-1.92
|
$229.60M — | $219.59K — | $3.56 — | $3.69 — | $229.60M — | 0 | -$0.68 — | ||
Lazard Global Total Return and Income Fund
LGI
US
|
$17.64 — |
-1.01
|
$229.55M — | $48.32K — | $17.41 — | $17.75 — | $229.55M — | 6.89 | $2.56 — | ||
Ampco-Pittsburgh
AP
US
|
$11.21 — |
+10.77
|
$227.86M — | $78.30K — | $10.28 — | $11.22 — | $227.86M — | 0 | -$3.38 — | ||
Magnachip Semiconductor
MX
US
|
$6.25 — |
+2.8
|
$227.76M — | $2.65M — | $5.83 — | $6.35 — | $227.76M — | 0 | -$0.41 — | ||
Aberdeen Municipal Income Fund
MFM
US
|
$5.49 — |
+0.92
|
$226.12M — | $400.02K — | $5.46 — | $5.50 — | $226.12M — | 42.23 | $0.13 — | ||
NXG Cushing Midstream Energy Fund
SRV
US
|
$48.41 — |
-0.19
|
$225.96M — | $31.76K — | $48.42 — | $48.87 — | $225.96M — | 440.09 | $0.11 — | ||
Nuveen Virginia Quality Municipal Income Fund
NPV
US
|
$11.53 — |
-0.01
|
$225.46M — | $12.81K — | $11.52 — | $11.53 — | $225.46M — | 0 | -$0.08 — | ||
TriplePoint Venture Growth BDC
TPVG
US
|
$5.52 — |
-0.72
|
$224.11M — | $273.23K — | $5.50 — | $5.63 — | $224.11M — | 5.25 | $1.05 — | ||
SmartRent, Inc.
SMRT
US
|
$1.15 — |
+5.5
|
$221.76M — | $2.57M — | $1.11 — | $1.20 — | $221.76M — | 0 | -$0.13 — | ||
Alta Equipment
ALTG
US
|
$6.75 — |
+5.14
|
$219.61M — | $205.60K — | $6.27 — | $6.77 — | $219.61M — | 0 | -$2.52 — | ||
J.Jill
JILL
US
|
$14.63 — |
+7.73
|
$218.74M — | $98.06K — | $13.33 — | $14.66 — | $218.74M — | 10.67 | $1.37 — | ||
GrafTech
EAF
US
|
$8.39 — |
+7.29
|
$218.54M — | $148.83K — | $7.80 — | $8.47 — | $218.54M — | 0 | -$8.59 — | ||
TCW Strategic Income Fund
TSI
US
|
$4.49 — |
-0.22
|
$217.16M — | $102.42K — | $4.48 — | $4.50 — | $217.16M — | 11.22 | $0.40 — | ||
Angel Oak Mortgage REIT
AOMR
US
|
$8.42 — |
0
|
$209.78M — | $99.32K — | $8.39 — | $8.49 — | $209.78M — | 13.36 | $0.63 — | ||
Stoneridge
SRI
US
|
$7.41 — |
+6.47
|
$209.22M — | $123.49K — | $7.05 — | $7.40 — | $209.22M — | 0 | -$3.94 — | ||
TrueBlue
TBI
US
|
$6.87 — |
+4.89
|
$208.88M — | $541.94K — | $6.38 — | $6.92 — | $208.88M — | 0 | -$1.79 — | ||
Eaton Vance Municipal Income 2028 Term Trust
ETX
US
|
$18.92 — |
-0.52
|
$206.16M — | $5.97K — | $18.90 — | $19.02 — | $206.16M — | 24.25 | $0.78 — | ||
Voya Infrastructure, Industrials and Materials Fund
IDE
US
|
$13.58 — |
+1.19
|
$205.82M — | $29.68K — | $13.41 — | $13.61 — | $205.82M — | 3.28 | $4.14 — | ||
Invesco Pennsylvania Value Municipal Income Trust
VPV
US
|
$11.50 — |
+2.13
|
$205.53M — | $41.52K — | $11.31 — | $11.50 — | $205.53M — | 41.07 | $0.28 — | ||
Morgan Stanley India Investment Fund
IIF
US
|
$21.45 — |
+1.27
|
$204.52M — | $16.24K — | $21.11 — | $21.43 — | $204.52M — | 0 | -$0.61 — | ||
BNY Mellon Municipal Bond Infrastructure Fund
DMB
US
|
$11.00 — |
0
|
$202.47M — | $21.52K — | $10.93 — | $11.02 — | $202.47M — | 35.48 | $0.31 — | ||
FutureFuel
FF
US
|
$4.56 — |
-0.22
|
$200.02M — | $379.62K — | $4.54 — | $4.75 — | $200.02M — | 0 | -$1.19 — | ||
Neuberger Berman Income Funds - Neuberger High Yield Strategies Fund
NHS
US
|
$6.33 — |
+0.48
|
$199.84M — | $111.69K — | $6.29 — | $6.33 — | $199.84M — | 9.59 | $0.66 — | ||
Franklin Universal Trust
FT
US
|
$7.95 — |
0
|
$199.80M — | $31.59K — | $7.95 — | $7.99 — | $199.80M — | 6.11 | $1.30 — | ||
SEACOR Marine
SMHI
US
|
$7.33 — |
-0.27
|
$198.37M — | $53.90K — | $7.33 — | $7.62 — | $198.37M — | 0 | -$1.11 — | ||
X Financial
XYF
US
|
$5.08 — |
+4.53
|
$195.66M — | $102.24K — | $4.84 — | $5.09 — | $195.66M — | 1.34 | $3.79 — | ||
RiverNorth/DoubleLine Strategic Opportunity Fund
OPP
US
|
$7.60 — |
+0.4
|
$189.93M — | $57.46K — | $7.55 — | $7.61 — | $189.93M — | 7.59 | $1.00 — | ||
Neuberger Berman Income Funds - Neuberger Real Estate Securities Income Fund
NRO
US
|
$2.99 — |
0
|
$189.45M — | $108.09K — | $2.98 — | $3.02 — | $189.45M — | 0 | -$0.18 — | ||
Modiv Industrial
MDV
US
|
$18.35 — |
-0.43
|
$189.44M — | $21.48K — | $18.33 — | $18.72 — | $189.44M — | 0 | -$0.41 — | ||
Torrid
CURV
US
|
$1.89 — |
+7.39
|
$188.05M — | $492.92K — | $1.68 — | $1.89 — | $188.05M — | 0 | -$0.13 — | ||
Western Asset Inflation-Linked Income Fund
WIA
US
|
$8.06 — |
-0.12
|
$187.98M — | $44.37K — | $8.05 — | $8.10 — | $187.98M — | 12.02 | $0.67 — | ||
Braemar Hotels & Resorts
BHR
US
|
$2.53 — |
-0.39
|
$187.05M — | $295.56K — | $2.48 — | $2.64 — | $187.05M — | 0 | -$0.96 — | ||
The New Germany Fund
GF
US
|
$11.50 — |
+0.09
|
$186.66M — | $20.97K — | $11.38 — | $11.63 — | $186.66M — | 3.35 | $3.43 — | ||
Highland Global Allocation Fund
HGLB
US
|
$7.79 — |
+0.52
|
$183.77M — | $72.18K — | $7.73 — | $7.91 — | $183.77M — | 19.47 | $0.40 — | ||
Nerdy
NRDY
US
|
$0.96 — |
+6.67
|
$182.93M — | $2.10M — | $0.94 — | $1.01 — | $182.93M — | 0 | -$0.27 — | ||
Barings Participation Investors
MPV
US
|
$16.94 — |
+4.18
|
$182.50M — | $27.45K — | $16.03 — | $17.00 — | $182.50M — | 13.77 | $1.23 — | ||
Amplify Energy
AMPY
US
|
$4.38 — |
-4.16
|
$180.84M — | $489.68K — | $4.34 — | $4.66 — | $180.84M — | 17.51 | $0.25 — | ||
Western Asset Global High Income Fund
EHI
US
|
$5.96 — |
+0.34
|
$180.59M — | $78.32K — | $5.93 — | $5.96 — | $180.59M — | 11.24 | $0.53 — | ||
The Gabelli Multimedia Trust
GGT
US
|
$4.30 — |
+1.18
|
$179.78M — | $358.46K — | $4.28 — | $4.31 — | $179.78M — | 3.43 | $1.25 — | ||
Finance of America Companies
FOA
US
|
$20.21 — |
+4.39
|
$179.70M — | $24.35K — | $19.26 — | $20.15 — | $179.70M — | 8.94 | $2.26 — | ||
Virtus Stone Harbor Emerging Markets Income Fund
EDF
US
|
$5.58 — |
+2.2
|
$179.20M — | $232.88K — | $5.45 — | $5.58 — | $179.20M — | 6.34 | $0.88 — | ||
Traeger
COOK
US
|
$64.04 — |
+5.61
|
$178.15M — | $14.43K — | $61.03 — | $65.00 — | $178.15M — | 0 | -$42.11 — | ||
Ellington Credit Company
EARN
US
|
$4.70 — |
-0.21
|
$176.57M — | $209.13K — | $4.64 — | $4.71 — | $176.57M — | 16.78 | $0.28 — | ||
BNY Mellon High Yield Strategies Fund
DHF
US
|
$2.40 — |
0
|
$174.57M — | $137.15K — | $2.40 — | $2.41 — | $174.57M — | 14.11 | $0.17 — | ||
Invesco Bond Fund
VBF
US
|
$14.99 — |
+0.27
|
$171.26M — | $78.23K — | $14.89 — | $15.12 — | $171.26M — | 14.69 | $1.02 — | ||
Blackstone Senior Floating Rate 2027 Term Fund
BSL
US
|
$12.96 — |
-0.15
|
$168.74M — | $26.96K — | $12.93 — | $12.98 — | $168.74M — | 22.73 | $0.57 — | ||
PIMCO California Municipal Income Fund
PCQ
US
|
$8.84 — |
+0.75
|
$167.79M — | $119.12K — | $8.79 — | $8.84 — | $167.79M — | 294.66 | $0.03 — | ||
Nuveen Arizona Quality Municipal Income Fund
NAZ
US
|
$13.07 — |
-0.53
|
$167.67M — | $10.31K — | $13.00 — | $13.12 — | $167.67M — | 23.33 | $0.56 — | ||
Westwood
WHG
US
|
$17.59 — |
0
|
$166.89M — | $29.07K — | $16.95 — | $17.63 — | $166.89M — | 21.19 | $0.83 — | ||
Invesco Trust for Investment Grade New York Municipals
VTN
US
|
$11.21 — |
+0.27
|
$164.15M — | $41.76K — | $11.10 — | $11.26 — | $164.15M — | 37.36 | $0.30 — | ||
San Juan Basin Royalty Trust
SJT
US
|
$3.52 — |
-0.56
|
$164.06M — | $168.58K — | $3.52 — | $3.66 — | $164.06M — | 0 | -$0.02 — | ||
Nuveen New York Municipal Value Fund
NNY
US
|
$8.68 — |
+0.35
|
$163.93M — | $17.90K — | $8.59 — | $8.68 — | $163.93M — | 27.12 | $0.32 — | ||
Tilly's
TLYS
US
|
$5.31 — |
+2.51
|
$161.89M — | $274.65K — | $5.25 — | $5.57 — | $161.89M — | 0 | -$0.10 — | ||
KORE
KORE
US
|
$9.20 — |
+0.11
|
$161.81M — | $16.98K — | $9.19 — | $9.20 — | $161.81M — | 0 | -$3.85 — | ||
SelectQuote
SLQT
US
|
$0.92 — |
+6
|
$161.62M — | $777.31K — | $0.85 — | $0.92 — | $161.62M — | 0 | -$0.01 — | ||
ChargePoint
CHPT
US
|
$6.58 — |
+2.81
|
$160.66M — | $376.04K — | $6.28 — | $6.59 — | $160.66M — | 0 | -$8.67 — | ||
Douglas Elliman
DOUG
US
|
$1.75 — |
0
|
$159.09M — | $306.64K — | $1.71 — | $1.77 — | $159.09M — | 35.00 | $0.05 — | ||
Orion Properties
ONL
US
|
$2.79 — |
-0.36
|
$158.56M — | $370.68K — | $2.75 — | $2.86 — | $158.56M — | 0 | -$2.55 — | ||
Clough Global Equity Fund
GLQ
US
|
$8.35 — |
+0.36
|
$156.46M — | $126.85K — | $8.23 — | $8.37 — | $156.46M — | 4.48 | $1.86 — | ||
BRC
BRCC
US
|
$1.32 — |
+4.76
|
$154.45M — | $557.12K — | $1.27 — | $1.34 — | $154.45M — | 0 | -$0.09 — | ||
JELD-WEN Holding
JELD
US
|
$1.79 — |
+9.82
|
$154.21M — | $1.92M — | $1.58 — | $1.79 — | $154.21M — | 0 | -$5.96 — | ||
Western Asset Municipal High Income Fund
MHF
US
|
$6.92 — |
-0.65
|
$153.78M — | $37.94K — | $6.89 — | $6.95 — | $153.78M — | 38.47 | $0.18 — | ||
American Well
AMWL
US
|
$9.16 — |
+8.79
|
$153.05M — | $56.00K — | $8.33 — | $9.20 — | $153.05M — | 0 | -$5.43 — | ||
Putnam Master Intermediate Income Trust
PIM
US
|
$3.17 — |
-0.31
|
$152.74M — | $103.19K — | $3.14 — | $3.17 — | $152.74M — | 14.40 | $0.22 — | ||
DHI
DHX
US
|
$3.53 — |
+0.86
|
$152.49M — | $101.85K — | $3.19 — | $3.56 — | $152.49M — | 0 | -$0.05 — | ||
Voya Global Advantage and Premium Opportunity Fund
IGA
US
|
$9.77 — |
+1.3
|
$149.89M — | $32.60K — | $9.66 — | $9.79 — | $149.89M — | 7.94 | $1.23 — | ||
Seritage Growth Properties
SRG
US
|
$2.65 — |
-0.75
|
$149.26M — | $122.63K — | $2.61 — | $2.67 — | $149.26M — | 0 | -$1.44 — | ||
Bancroft Fund
BCV
US
|
$25.27 — |
+2.27
|
$147.13M — | $15.20K — | $24.91 — | $25.36 — | $147.13M — | 3.77 | $6.70 — | ||
Endava
DAVA
US
|
$2.78 — |
+1.09
|
$146.90M — | $294.32K — | $2.67 — | $2.80 — | $146.90M — | 0 | -$10.34 — | ||
Morgan Stanley Emerging Markets Debt Fund
MSD
US
|
$7.26 — |
+0.69
|
$146.88M — | $71.91K — | $7.21 — | $7.28 — | $146.88M — | 6.91 | $1.05 — | ||
BlackRock MuniYield Pennsylvania Quality Fund
MPA
US
|
$11.33 — |
+0.27
|
$146.72M — | $19.72K — | $11.31 — | $11.34 — | $146.72M — | 34.33 | $0.33 — | ||
Flaherty & Crumrine Preferred Income Fund
PFD
US
|
$11.37 — |
-0.35
|
$146.13M — | $8.61K — | $11.35 — | $11.46 — | $146.13M — | 11.84 | $0.96 — | ||
Special Opportunities Fund
SPE
US
|
$13.61 — |
-0.22
|
$144.58M — | $63.42K — | $13.51 — | $13.76 — | $144.58M — | 6.87 | $1.98 — | ||
Eaton Vance Short Duration Diversified Income Fund
EVG
US
|
$10.72 — |
+0.09
|
$144.26M — | $8.62K — | $10.71 — | $10.74 — | $144.26M — | 9.74 | $1.10 — | ||
|
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