$2.54T
Общая капитализация
$65.3B
Общий объем
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Доминирование

Отрасль: Управление активами Котировки акций и цены - фондовый рынок

Список всех акций публичных компаний с указанием цен, рыночной капитализации, PE и EPS
Управление активами (1966)
Название Название Цена Цена 24h%
7d chart
24h% & 7d
Рын. Кап. Капитализация Объём Объём 24ч мин 24ч макс Капитализация Цена/доход Прибыль на акцию
Название Название Цена Цена 24h%
7d chart
24h% & 7d
Рын. Кап. Капитализация Объём Объём 24ч мин 24ч макс Капитализация Цена/доход Прибыль на акцию
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1812 Brewing Company  KEGS $0.0001
+9900
$772.14K $13.6M $0 $0.0001 $772.14K 0 -$8.53
Ding Yi Feng Holdings Group International Limited  0612.HK $0.8399 0.11 USD
+23.53
$1.31B 167.7M USD $19.41M 2.48M USD $0.6899 0.09 USD $1 0.13 USD $1.31B 167.7M USD 0 -$0.2 -0.02 USD
Global Data Centre Group  GDC.AX $2.8 1.85 USD
+20.17
$216.36M 143.2M USD $1.42M 940.87K USD $2.7 1.79 USD $2.94 1.95 USD $216.36M 143.2M USD 0 $0 0 USD
Starfleet Innotech  SFIO $0.003599
+12.5
$4.56M $1.18M $0.0032 $0.003799 $4.56M 1.79 $0
BPH Energy Limited  BPH.AX $0.02 0.01 USD
+10.53
$24.1M 15.95M USD $6.78M 4.49M USD $0.02 0.01 USD $0.02 0.01 USD $24.1M 15.95M USD 0 $0 0 USD
Denge Yatirim Holding A.S.  DENGE.IS $4.45 0.14 USD
+8.8
$1.33B 41.78M USD $26.35M 827.61K USD $4.01 0.13 USD $4.49 0.14 USD $1.33B 41.78M USD 4.15 $1.07 0.03 USD
China Merchants China Direct Investments Limited  0133.HK $14.1 1.8 USD
+6.5
$2.15B 274.64M USD $921.76K 117.86K USD $13.32 1.7 USD $14.18 1.81 USD $2.15B 274.64M USD 47.00 $0.3 0.04 USD
The Westaim Corporation  WED.V $4.18 3.1 USD
+5.29
$539.11M 400.05M USD $326.35K 242.17K USD $4.02 2.98 USD $4.19 3.11 USD $539.11M 400.05M USD 3.69 $1.13 0.84 USD
Aker Horizons ASA  AKH.OL $3.6 0.35 USD
+5.08
$2.49B 238.41M USD $7.64M 733.06K USD $3.44 0.33 USD $3.63 0.35 USD $2.49B 238.41M USD 0 -$6.49 -0.6 USD
Tribeca Global Natural Resources Limited  TGF.AX $1.81 1.19 USD
+4.94
$142.22M 94.13M USD $193.64K 128.16K USD $1.76 1.16 USD $1.82 1.2 USD $142.22M 94.13M USD 0 -$0.29 -0.1 USD
The Westaim  WEDXF $3.05
+4.1
$395.94M $174.36K $2.95 $3.05 $395.94M 3.67 $0.83
China Cinda Asset Management Co., Ltd.  1359.HK $0.8399 0.11 USD
+3.75
$32.06B 4.1B USD $170.11M 21.75M USD $0.79 0.1 USD $0.8399 0.11 USD $32.06B 4.1B USD 7.00 $0.12 0.02 USD
Sprott  SII $46.53
+3.75
$1.18B $537.83K $44.91 $47.05 $1.18B 26.58 $1.75
Fiera Capital  FRRPF $5.29
+3.52
$539.59M $104.88K $5.29 $5.29 $539.59M 12.30 $0.43
SuRo Capital  SSSS $4.46
+3.48
$104.16M $245.45K $4.21 $4.53 $104.16M 23.47 $0.19
Bridge Inv  BRDG $7.98
+3.1
$965.46M $144.97K $7.75 $8 $965.46M 0 -$0.38
Ophir Asset Management Pty Ltd - Ophir High Conviction Fund  OPH.AX $2.68 1.77 USD
+2.68
$0 0 USD $222.21K 147.07K USD $2.61 1.73 USD $2.68 1.77 USD $0 0 USD 5.48 $0.49 0.32 USD
China CITIC Financial Asset Management Co., Ltd.  2799.HK $0.39 0.05 USD
+2.63
$31.3B 4B USD $22.94M 2.93M USD $0.38 0.05 USD $0.39 0.05 USD $31.3B 4B USD 19.50 $0.02 0.002 USD
TriplePoint Venture Growth BDC  TPVG $9.4
+2.62
$355.75M $231.21K $9.16 $9.4 $355.75M 0 -$1.13
GAMCO Global Gold, Natural Resources & Income Trust  GGN $4.14
+2.22
$638.79M $545.44K $4.08 $4.14 $638.79M 8.44 $0.49
CBRE Global Real Estate Income Fund  IGR $5.19
+1.96
$726.44M $629.8K $5.1 $5.19 $726.44M 6.17 $0.84
Insignia Financial Ltd.  IFL.AX $2.36 1.56 USD
+1.72
$1.58B 1.05B USD $1.15M 759.42K USD $2.33 1.54 USD $2.37 1.57 USD $1.58B 1.05B USD 0 -$0.06 -0.03 USD
Highland Funds I - Highland Opportunities and Income Fund  HFRO $6.66
+1.68
$454.88M $212.41K $6.52 $6.7 $454.88M 0 -$0.96
PIMCO Strategic Income Fund  RCS $6.11
+1.66
$280.21M $192.25K $5.95 $6.13 $280.21M 10.01 $0.61
GQG Partners Inc.  GQG.AX $2.48 1.64 USD
+1.64
$7.35B 4.87B USD $4.24M 2.8M USD $2.43 1.61 USD $2.5 1.65 USD $7.35B 4.87B USD 16.53 $0.15 0.1 USD
L1 Long Short Fund Limited  LSF.AX $3.14 2.08 USD
+1.62
$1.93B 1.28B USD $828.42K 548.3K USD $3.09 2.05 USD $3.15 2.08 USD $1.93B 1.28B USD 13.65 $0.23 0.15 USD
Hercules Capital  HTGC $19.36
+1.52
$3.14B $1.69M $19.09 $19.46 $3.14B 8.80 $2.2
Hedef Girisim Sermayesi Yatirim Ortakligi A.S.  HDFGS.IS $2.06 0.06 USD
+1.48
$1.15B 36.08M USD $4.35M 136.75K USD $2.03 0.06 USD $2.06 0.06 USD $1.15B 36.08M USD 1.96 $1.05 0.03 USD
Platinum Investment Management Limited  PTM.AX $1.07 0.7 USD
+1.43
$620.01M 410.36M USD $1.37M 909.32K USD $1.05 0.69 USD $1.07 0.7 USD $620.01M 410.36M USD 7.60 $0.14 0.09 USD
Cadence Capital Limited  CDM.AX $0.7399 0.49 USD
+1.37
$222.05M 146.97M USD $377.12K 249.6K USD $0.7399 0.49 USD $0.75 0.49 USD $222.05M 146.97M USD 0 -$0.03 -0.01 USD
WAM Global Limited  WGB.AX $2.25 1.49 USD
+1.35
$799.33M 529.05M USD $303.86K 201.11K USD $2.22 1.47 USD $2.25 1.49 USD $799.33M 529.05M USD 9.37 $0.24 0.16 USD
Anima Holding SpA  ANIM.MI $4.71 5.14 USD
+1.34
$1.49B 1.63B USD $241.12K 263.58K USD $4.65 5.08 USD $4.71 5.15 USD $1.49B 1.63B USD 10.45 $0.45 0.49 USD
The Bank of New York Mellon  BK $59.5
+1.24
$44.5B $2.9M $58.69 $59.55 $44.5B 14.91 $3.99
Cornerstone Total Return Fund  CRF $7.56
+1.2
$834.31M $392.37K $7.5 $7.56 $834.31M 4.52 $1.67
Future Generation Global Limited  FGG.AX $1.28 0.85 USD
+1.19
$508.52M 336.56M USD $243.84K 161.39K USD $1.27 0.84 USD $1.29 0.85 USD $508.52M 336.56M USD 9.14 $0.14 0.09 USD
BlackRock Floating Rate Income Trust  BGT $13.68
+1.11
$305.28M $140.42K $13.48 $13.73 $305.28M 7.81 $1.75
Brookfield Asset Management  BAM $40.41
+1.1
$15.79B $2.66M $39.67 $40.45 $15.79B 37.76 $1.07
OFS Credit Company  OCCI $7.58
+1.07
$121.06M $200.85K $7.5 $7.65 $121.06M 0 -$0.16
GCM Grosvenor  GCMG $9.96
+1.01
$1.86B $135.77K $9.77 $9.99 $1.86B 24.05 $0.41
Principal Financial  PFG $85.13
+1.01
$19.95B $606.86K $84.26 $85.17 $19.95B 15.91 $5.35
Duff & Phelps Utility and Infrastructure Fund  DPG $10.22
+0.99
$390.22M $142.08K $10.1 $10.23 $390.22M 0 -$0.69
PennantPark Inv  PNNT $7.37
+0.96
$480.7M $410.37K $7.31 $7.38 $480.7M 9.95 $0.74
Kayne Anderson Energy Infrastructure Fund  KYN $9.95
+0.91
$1.68B $298.44K $9.85 $10 $1.68B 14.01 $0.71
WAM Strategic Value Limited  WAR.AX $1.11 0.73 USD
+0.91
$199.94M 132.33M USD $193.15K 127.84K USD $1.1 0.73 USD $1.12 0.74 USD $199.94M 132.33M USD 0 $0 0 USD
BlackRock Energy and Resources Trust  BGR $13.32
+0.91
$365.83M $108.87K $13.2 $13.39 $365.83M 19.30 $0.69
Prospect Capital  PSEC $5.66
+0.89
$2.36B $978.52K $5.61 $5.66 $2.36B 0 -$0.2
BKI Investment Company Limited  BKI.AX $1.71 1.13 USD
+0.89
$1.37B 908.32M USD $394.95K 261.4K USD $1.69 1.12 USD $1.72 1.14 USD $1.37B 908.32M USD 18.94 $0.09 0.06 USD
Portman Ridge Finance  PTMN $20.49
+0.89
$190.68M $123.85K $20.32 $20.83 $190.68M 12.26 $1.67
Capital Southwest  CSWC $26.2
+0.81
$1.18B $244.36K $25.86 $26.22 $1.18B 11.19 $2.34
Cornerstone Strategic Value Fund  CLM $7.53
+0.8
$1.77B $771.51K $7.47 $7.54 $1.77B 4.25 $1.77
Franklin Limited Duration Income Trust  FTF $6.33
+0.8
$255.77M $126.27K $6.28 $6.33 $255.77M 7.62 $0.83
Invesco Municipal Income Opportunities Trust  OIA $6.33
+0.8
$301.59M $115.76K $6.25 $6.34 $301.59M 0 -$0.11
Western Asset Managed Municipals Fund  MMU $10.34
+0.78
$566.3M $147.19K $10.26 $10.36 $566.3M 23.50 $0.44
Canoe EIT Income Fund  EIT-UN.TO $14.23 10.56 USD
+0.78
$2.53B 1.88B USD $161.64K 119.95K USD $14.1 10.46 USD $14.23 10.56 USD $2.53B 1.88B USD 19.22 $0.74 0.55 USD
PIMCO Municipal Income Fund  PMF $9.26
+0.76
$242.85M $101.93K $9.19 $9.26 $242.85M 13.82 $0.67
Bain Capital Specialty Finance  BCSF $16.43
+0.74
$1.06B $233.53K $16.34 $16.47 $1.06B 8.17 $2.01
Azimut Holding S.p.A.  AZM.MI $25.14 27.48 USD
+0.72
$3.48B 3.8B USD $324.31K 354.52K USD $25.01 27.34 USD $25.49 27.86 USD $3.48B 3.8B USD 8.00 $3.14 3.43 USD
Putnam Premier Income Trust  PPT $3.53
+0.71
$339.83M $203.23K $3.49 $3.54 $339.83M 17.64 $0.2
Argo Investments Limited  ARG.AX $8.72 5.77 USD
+0.69
$6.64B 4.39B USD $321.73K 212.94K USD $8.67 5.74 USD $8.76 5.8 USD $6.64B 4.39B USD 25.64 $0.34 0.23 USD
BlackRock Floating Rate Income Strategies Fund  FRA $13.26
+0.68
$467.18M $156.14K $13.2 $13.28 $467.18M 7.49 $1.77
Blackrock Resources & Commodities Strategy Trust  BCX $9.45
+0.64
$797.23M $259.98K $9.37 $9.46 $797.23M 7.50 $1.26
Blue Owl Capital  OWL $19
+0.64
$27.15B $6.45M $18.75 $19.01 $27.15B 158.33 $0.12
Burford Capital  BUR $14.33
+0.63
$3.14B $875.15K $14.11 $14.44 $3.14B 5.28 $2.71
Ares Capital  ARCC $21.28
+0.61
$13.08B $4.42M $21.13 $21.28 $13.08B 7.26 $2.93
T. Rowe Price  TROW $116.76
+0.61
$26.07B $1.09M $115.72 $116.97 $26.07B 13.86 $8.42
Abrdn Total Dynamic Dividend Fund  AOD $8.41
+0.6
$886.67M $214.88K $8.34 $8.43 $886.67M 13.34 $0.63
BlackRock  BLK $812.22
+0.56
$120.7B $394.39K $806.31 $813.45 $120.7B 20.66 $39.31
BlackRock Debt Strategies Fund  DSU $10.95
+0.55
$510.38M $101.78K $10.91 $10.98 $510.38M 7.29 $1.5
Noah  NOAH $15.1
+0.53
$992.16M $134.15K $14.98 $15.44 $992.16M 7.47 $2.02
Platinum Asia Investments Limited  PAI.AX $0.9499 0.63 USD
+0.53
$351.3M 232.51M USD $769.89K 509.55K USD $0.9499 0.63 USD $1 0.66 USD $351.3M 232.51M USD 0 $0 0 USD
Cohen & Steers Quality Income Realty Fund  RQI $11.7
+0.52
$1.57B $348.13K $11.61 $11.72 $1.57B 6.68 $1.75
Japan Smaller Capitalization Fund  JOF $7.79
+0.51
$220.72M $175.31K $7.78 $7.83 $220.72M 4.72 $1.65
Franklin Resources  BEN $24.28
+0.5
$12.78B $2.4M $24.06 $24.29 $12.78B 14.03 $1.73
State Street  STT $78.01
+0.49
$23.5B $1.81M $77.35 $78.05 $23.5B 14.36 $5.43
DoubleLine Income Solutions Fund  DSL $12.59
+0.48
$1.3B $255.18K $12.53 $12.62 $1.3B 0 -$2.06
KKR &  KKR $104.64
+0.47
$96.47B $1.87M $103.89 $105.01 $96.47B 23.40 $4.47
Magellan Financial Group Limited  MFG.AX $8.55 5.66 USD
+0.47
$1.55B 1.02B USD $378.15K 250.28K USD $8.45 5.59 USD $8.55 5.66 USD $1.55B 1.02B USD 7.63 $1.12 0.74 USD
GSD Holding A.S.  GSDHO.IS $4.28 0.13 USD
+0.47
$3.85B 120.97M USD $4.9M 154.02K USD $4.24 0.13 USD $4.3 0.14 USD $3.85B 120.97M USD 0 -$1.87 -0.05 USD
DNP Select Income Fund  DNP $8.81
+0.46
$3.2B $549.32K $8.75 $8.83 $3.2B 0 -$0.47
FS KKR Capital  FSK $20.03
+0.45
$5.61B $1.19M $19.88 $20.04 $5.61B 8.07 $2.48
Princess Private Equity Ord  PEY.L $11.15 12.19 USD
+0.45
$7.71M 8.43M USD $682.62K 746.2K USD $0 0 USD $0 0 USD $7.71M 8.43M USD 0.41 $0.27 0.3 USD
Patria Investments  PAX $13.03
+0.42
$1.96B $385.82K $13 $13.12 $1.96B 16.28 $0.8
Janus Henderson  JHG $34.37
+0.41
$5.52B $1.06M $33.89 $34.39 $5.52B 12.96 $2.65
John Hancock Investments - John Hancock Tax-Advantaged Global Shareholder Yield Fund  HTY $4.99
+0.4
$54.5M $146.3K $4.96 $5.04 $54.5M 83.16 $0.06
Carlyle Secured Lending  CGBD $17.63
+0.4
$895.51M $248.51K $17.44 $17.66 $895.51M 10.75 $1.64
Brookfield Real Assets Income Fund  RA $12.71
+0.39
$704.84M $271.09K $12.65 $12.72 $704.84M 23.10 $0.55
Crescent Capital BDC  CCAP $17.88
+0.39
$662.66M $256.9K $17.78 $18 $662.66M 7.67 $2.33
Neuberger Berman Energy Infrastructure and Income Fund  NML $7.72
+0.39
$437.41M $195.88K $7.65 $7.73 $437.41M 0 -$0.79
Zhuhai Huajin Capital Co., Ltd.  000532.SZ $13.11 1.82 USD
+0.38
$4.52B 628.35M USD $16.93M 2.35M USD $12.88 1.79 USD $13.34 1.85 USD $4.52B 628.35M USD 26.75 $0.49 0.07 USD
Eaton Vance Municipal Bond Fund  EIM $10.59
+0.38
$753.51M $158.74K $10.58 $10.71 $753.51M 117.66 $0.09
The Gabelli Equity Trust  GAB $5.56
+0.36
$1.68B $333.05K $5.54 $5.56 $1.68B 7.12 $0.78
PIMCO Municipal Income Fund II  PML $8.38
+0.36
$556.57M $221.68K $8.36 $8.41 $556.57M 12.50 $0.67
Platinum Capital Limited  PMC.AX $1.41 0.93 USD
+0.36
$415.08M 274.72M USD $372.46K 246.52K USD $1.4 0.93 USD $1.41 0.93 USD $415.08M 274.72M USD 23.41 $0.06 0.04 USD
WAM Microcap Limited  WMI.AX $1.41 0.93 USD
+0.36
$388.72M 257.28M USD $402.44K 266.36K USD $1.41 0.93 USD $1.43 0.94 USD $388.72M 257.28M USD 10.84 $0.13 0.09 USD
Virtus Convertible & Income Fund II  NCZ $2.89
+0.35
$219.97M $588.28K $2.85 $2.89 $219.97M 28.90 $0.1
WAM Capital Limited  WAM.AX $1.47 0.97 USD
+0.34
$1.63B 1.08B USD $1.05M 695.82K USD $1.46 0.97 USD $1.48 0.98 USD $1.63B 1.08B USD 8.13 $0.18 0.12 USD
Trinity Capital  TRIN $14.93
+0.34
$738.71M $225.24K $14.88 $14.98 $738.71M 9.38 $1.59
First Trust High Income Long/Short Fund  FSD $11.95
+0.34
$397.83M $109.98K $11.91 $11.97 $397.83M 0 -$0.09
BlackRock Science and Technology Term Trust  BSTZ $18.44
+0.33
$1.4B $146.93K $18.31 $18.49 $1.4B 25.97 $0.71
Invesco Quality Municipal Income Trust  IQI $9.61
+0.31
$508.21M $153.59K $9.59 $9.63 $508.21M 0 -$0.01
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