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Ülke: Amerika Birleşik Devletleri Borsa: NYSE Endüstri: Varlık Yönetimi Borsası - Teklifler ve Fiyatlar

Fiyatlar, Piyasa Değerleri, PE ve EPS oranları ile tüm Hisse ve Net Varlıkların Listesi
Amerika Birleşik Devletleri (437)
Tüm sektörler
Varlık Yönetimi (437)
Ad Ad Fiyat Fiyat 24 sa.%
7g Grafikleri
24 sa.%
7g
P. Değeri Piyasa değeri HCM Hacim 24s düşük 24s yüksek Piyasa değeri F/K Oranı HBK
Ad Ad Fiyat Fiyat 24 sa.%
7g Grafikleri
24 sa.%
7g
P. Değeri Piyasa değeri HCM Hacim 24s düşük 24s yüksek Piyasa değeri F/K Oranı HBK
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Blackstone  BX $124.65
-0.31
$151.91B $13.46M $115.66 $130.76 $151.91B 34.52 $3.61
BlackRock  BLK $817.5
-0.62
$126.73B $1.38M $773.74 $846.22 $126.73B 19.45 $42.02
KKR &  KKR $97.54
+5.12
$90.01B $15.12M $86.15 $101.52 $90.01B 29.73 $3.28
Brookfield Asset Management  BAM $43.54
-1.56
$71.29B $4.45M $41.93 $46.8 $71.29B 34.01 $1.28
Apollo Global Management  APO $112.36
+3.39
$64.1B $11.19M $102.58 $119.49 $64.1B 15.32 $7.33
The Bank of New York Mellon  BK $74.09
+1.06
$53.19B $5.82M $70.49 $76.31 $53.19B 12.77 $5.8
Ameriprise Financial  AMP $427.95
+1.36
$41B $930.42K $396.14 $441.19 $41B 12.95 $33.04
Ares Management  ARES $124.73
+5.67
$39.34B $6.48M $110.63 $128 $39.34B 60.84 $2.05
Blue Owl Capital  OWL $16.41
+3.21
$24.28B $15.65M $14.55 $16.74 $24.28B 82.04 $0.2
State Street  STT $76.3
+0.07
$22.02B $3.68M $72.81 $79.17 $22.02B 9.29 $8.21
State Street Corporation  STT-PG $22.2
-0.72
$17.07B $83.32K $21.62 $22.56 $17.07B 3.00 $7.38
Franklin Resources  BEN $16.87
-3.66
$8.86B $9.1M $16.36 $17.8 $8.86B 26.35 $0.64
Blackstone Secured Lending Fund  BXSL $28.1
-3.77
$6.4B $4.95M $26.97 $28.98 $6.4B 8.14 $3.45
PIMCO Dynamic Income Fund  PDI $17.02
-4.11
$6.01B $9.67M $16 $17.41 $6.01B 7.70 $2.21
Invesco  IVZ $12.71
-0.78
$5.69B $10.66M $12.21 $13.46 $5.69B 10.77 $1.18
FS KKR Capital  FSK $18.44
-5
$5.44B $6.84M $17.95 $19.36 $5.44B 8.82 $2.09
Janus Henderson  JHG $29.68
-1.72
$4.68B $2.98M $28.26 $31.22 $4.68B 11.59 $2.56
Main Street Capital  MAIN $50.3
-2.29
$4.45B $1.35M $47.58 $52.56 $4.45B 8.59 $5.85
Affiliated Managers  AMG $145.55
-2.18
$4.26B $410.21K $139.22 $152.94 $4.26B 9.61 $15.14
AllianceBernstein Holding L.P  AB $34.15
-5.58
$3.77B $1.38M $32.5 $35.21 $3.77B 9.20 $3.71
Cohen & Steers  CNS $73.3
-3.22
$3.74B $326.89K $71.84 $78.57 $3.74B 24.68 $2.97
DNP Select Income Fund  DNP $8.98
-0.99
$3.32B $1.59M $8.69 $9.14 $3.32B 3.88 $2.31
Nuveen AMT-Free Quality Municipal Income Fund  NEA $10.67
-3.26
$3.19B $2.66M $10.66 $10.95 $3.19B 5.58 $1.91
Federated Hermes  FHI $36.13
-2.03
$2.93B $1.2M $35.05 $37.68 $2.93B 11.18 $3.23
Hercules Capital  HTGC $16.6
-3.43
$2.87B $3.16M $15.8 $17.5 $2.87B 10.31 $1.61
Nuveen Quality Municipal Income Fund  NAD $11.1
-2.63
$2.59B $2.34M $11.06 $11.37 $2.59B 5.54 $2
Nuveen AMT-Free Municipal Credit Income Fund  NVG $11.73
-3.3
$2.59B $1.12M $11.7 $12.02 $2.59B 4.51 $2.6
Burford Capital  BUR $11.69
-1.93
$2.57B $1.76M $11.17 $12.47 $2.57B 17.71 $0.66
Reaves Utility Income Fund  UTG $29.08
-0.78
$2.56B $886.53K $27.62 $29.99 $2.56B 2.80 $10.35
Artisan Partners Asset Management  APAM $34.69
-1.89
$2.43B $944K $32.79 $36.75 $2.43B 9.47 $3.66
PIMCO Corporate & Income Opportunity Fund  PTY $12.71
-2.16
$2.36B $3.38M $11.7 $12.85 $2.36B 8.95 $1.42
Cohen & Steers Infrastructure Fund  UTF $22.85
-5.5
$2.34B $828.97K $22.45 $23.85 $2.34B 8.04 $2.84
Nuveen Municipal Credit Income Fund  NZF $11.67
-2.42
$2.32B $1.27M $11.52 $11.87 $2.32B 5.00 $2.33
Nuveen Preferred & Income Opportunities Fund  JPC $7.05
-3.29
$2.27B $4.48M $6.79 $7.21 $2.27B 8.29 $0.85
Guggenheim Strategic Opportunities Fund  GOF $13.74
-0.87
$2.23B $3.77M $12.26 $13.93 $2.23B 6.48 $2.12
Eaton Vance Tax-Managed Global Diversified Equity Income Fund  EXG $7.21
-3.09
$2.21B $2.37M $6.76 $7.44 $2.21B 3.71 $1.94
Adams Diversified Equity Fund  ADX $17.11
-1.84
$2.01B $672.04K $16.5 $17.4 $2.01B 3.70 $4.62
Eaton Vance Tax-Managed Diversified Equity Income Fund  ETY $12.5
-1.42
$1.97B $770.18K $11.82 $12.8 $1.97B 2.87 $4.35
The Gabelli Dividend & Income Trust  GDV $21.11
-2.4
$1.88B $516.11K $20.1 $21.65 $1.88B 6.11 $3.45
Sixth Street Specialty Lending  TSLX $19.58
-3.74
$1.83B $1.37M $18.91 $20.19 $1.83B 9.64 $2.03
Kayne Anderson Energy Infrastructure Fund  KYN $10.82
-4.33
$1.83B $2.11M $9.85 $11.04 $1.83B 1.96 $5.5
Nuveen Municipal Value Fund  NUV $8.62
-0.58
$1.8B $859.47K $8.56 $8.68 $1.8B 8.97 $0.96
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
Liberty All-Star Equity Fund  USA $5.91
-2.48
$1.71B $2.97M $5.64 $6.04 $1.71B 6.49 $0.91
Cornerstone Strategic Investment Fund  CLM $6.75
-1.46
$1.69B $5.75M $6.16 $6.98 $1.69B 4.32 $1.56
Brookfield Business  BBUC $22.93
-0.43
$1.64B $132.17K $21.77 $24.48 $1.64B 0 -$12.16
Nuveen California Quality Municipal Income Fund  NAC $10.86
-2.95
$1.57B $767.54K $10.82 $11.13 $1.57B 14.10 $0.77
The Gabelli Equity Trust  GAB $5
-0.99
$1.54B $1.78M $4.5 $5.09 $1.54B 7.57 $0.66
Eaton Vance Tax-Advantaged Dividend Income Fund  EVT $20.31
-2.36
$1.51B $498.81K $19.2 $21.36 $1.51B 3.06 $6.63
Cohen & Steers Quality Income Realty Fund  RQI $11.1
-4.23
$1.49B $956.32K $10.56 $11.48 $1.49B 15.00 $0.74
Royce Small-Cap Trust  RVT $12.6
-3.15
$1.48B $628.76K $12.12 $13.16 $1.48B 9.33 $1.35
Tri-Continental  TY $27.37
-2.46
$1.47B $114.96K $26.58 $28.71 $1.47B 4.40 $6.21
Blackrock Municipal 2030 Target Term Trust  BTT $20.85
-1.23
$1.37B $296.84K $20.78 $21.05 $1.37B 22.91 $0.91
Eaton Vance Tax-Managed Buy-Write Opportunities Fund  ETV $11.53
-2.12
$1.35B $763.17K $10.67 $11.75 $1.35B 3.94 $2.92
BlackRock Enhanced Equity Dividend Trust  BDJ $7.6
-1.68
$1.34B $1.2M $7.16 $7.7 $1.34B 8.63 $0.88
The Gabelli Equity Trust Inc.  GAB-PH $20.97
-0.14
$1.33B $29.16K $20.89 $21.21 $1.33B 17.84 $1.18
BlackRock Corporate High Yield Fund  HYT $8.45
-2.65
$1.31B $3.08M $7.89 $8.58 $1.31B 9.71 $0.87
DoubleLine Income Solutions Fund  DSL $11.15
-2.96
$1.24B $1.84M $10.6 $11.3 $1.24B 4.42 $2.52
Goldman Sachs BDC  GSBD $10.05
-5.1
$1.24B $2.05M $9.8 $10.5 $1.24B 18.27 $0.55
Nuveen S&P 500 Buy-Write Income Fund  BXMX $11.75
-2.25
$1.22B $702.4K $11.25 $11.98 $1.22B 5.29 $2.22
Eaton Vance Tax-Advantaged Global Dividend Income Fund  ETG $16
-4.02
$1.22B $434.3K $15.04 $16.48 $1.22B 3.11 $5.13
Central Securities  CET $40.83
-0.54
$1.18B $49.95K $40.26 $41.99 $1.18B 4.02 $10.15
Nuveen Municipal High Income Opportunity Fund  NMZ $10.25
-5
$1.14B $918.28K $10.24 $10.71 $1.14B 4.36 $2.35
BlackRock Science and Technology Term Trust  BSTZ $16.12
-4.22
$1.14B $590.83K $15.22 $16.77 $1.14B 2.05 $7.86
P10  PX $9.93
+4.75
$1.1B $1.31M $8.85 $10.02 $1.1B 62.06 $0.16
AMTD IDEA Group  AMTD $1
-1.61
$1.09B $33.08K $0.9499 $1.01 $1.09B 0 -$148
Eaton Vance Limited Duration Income Fund  EVV $9.25
-2.22
$1.07B $731.11K $8.81 $9.41 $1.07B 6.08 $1.52
General American Investors Company  GAM $45.77
-2.55
$1.07B $44.93K $41.8 $46.93 $1.07B 4.23 $10.81
Sprott  SII $40.44
-0.44
$1.05B $324.48K $39.33 $42.02 $1.05B 21.17 $1.91
Virtus Investment Partners  VRTS $150.98
-4.76
$1.04B $79.27K $149.37 $159.72 $1.04B 8.93 $16.89
BlackRock Science and Technology Trust  BST $29.62
-1.5
$1.03B $367.25K $27.87 $31.2 $1.03B 3.76 $7.86
Cohen & Steers Tax-Advantaged Preferred Securities and Income Fund  PTA $17.86
-3.82
$1.03B $281.57K $17.5 $18.55 $1.03B 4.08 $4.37
Virtus Dividend, Interest & Premium Strategy Fund  NFJ $10.66
-3.35
$1.01B $487.89K $10.02 $11.02 $1.01B 15.67 $0.68
Nuveen Floating Rate Income Fund  JFR $7.51
-4.57
$1.01B $2.42M $7.13 $7.72 $1.01B 7.82 $0.96
First Trust Intermediate Duration Preferred & Income Fund  FPF $16.43
-3.64
$999.73M $365.81K $15.79 $16.71 $999.73M 3.61 $4.55
BlackRock MuniHoldings California Quality Fund  MUC $10.58
-1.76
$996.47M $508.29K $10.53 $10.72 $996.47M 24.60 $0.43
Eaton Vance Enhanced Equity Income Fund II  EOS $18.73
-1.11
$982.12M $332.73K $17.56 $19.3 $982.12M 3.52 $5.31
BlackRock Taxable Municipal Bond Trust  BBN $15.73
-3.32
$972M $385.71K $15.71 $16.13 $972M 82.78 $0.19
Bridge Inv  BRDG $7.83
+2.62
$969.71M $506.93K $7.15 $8.25 $969.71M 60.23 $0.13
Cohen & Steers REIT and Preferred Income Fund  RNP $19.75
-4.73
$945.5M $225.82K $19.54 $20.47 $945.5M 10.28 $1.92
BlackRock Credit Allocation Income Trust  BTZ $9.87
-2.28
$921.11M $761.29K $9.6 $10.21 $921.11M 14.30 $0.69
Bain Capital Specialty Finance  BCSF $14.25
-5.75
$920.76M $873.06K $14 $14.95 $920.76M 7.70 $1.85
Nuveen New York AMT-Free Quality Municipal Income Fund  NRK $10.09
-1.46
$893.29M $495.92K $10 $10.13 $893.29M 12.01 $0.84
BlackRock Municipal Income Fund  MUI $12.09
+3.11
$870.38M $2.37M $11.7 $12.1 $870.38M 22.38 $0.54
AllianceBernstein Global High Income Fund  AWF $9.73
-2.89
$839.01M $673.9K $9.31 $9.93 $839.01M 5.55 $1.75
PennantPark Floating Rate Capital  PFLT $9.37
-6.77
$824.15M $4.55M $9.23 $9.92 $824.15M 6.83 $1.37
BlackRock MuniYield Quality Fund  MQY $11.25
-2.34
$808.13M $245.95K $11.16 $11.45 $808.13M 18.14 $0.62
Eagle Point Credit Company  ECC $7.05
-2.22
$788.44M $2.59M $6.54 $7.23 $788.44M 8.19 $0.86
Abrdn Total Dynamic Dividend Fund  AOD $7.42
-3.39
$782.3M $901.02K $6.99 $7.61 $782.3M 3.84 $1.93
Eaton Vance Tax-Managed Global Buy-Write Opportunities Fund  ETW $7.2
-4.13
$781.91M $1.06M $6.94 $7.48 $781.91M 7.12 $1.01
PIMCO High Income Fund  PHK $4.43
-4.11
$775.65M $2.72M $4.18 $4.52 $775.65M 7.14 $0.62
Abrdn Healthcare Opportunities Fund  THQ $17.95
-4.01
$773.36M $339.97K $17.42 $18.56 $773.36M 3.91 $4.58
ClearBridge Energy Midstream Opportunity Fund  EMO $41.96
-5.26
$763.26M $123.07K $39.65 $43.04 $763.26M 2.09 $20.07
PIMCO Corporate & Income Strategy Fund  PCN $11.76
-4.62
$752.38M $1.13M $11.3 $12.3 $752.38M 8.64 $1.36
Cornerstone Total Return Fund  CRF $6.44
-2.72
$752.16M $3.45M $5.81 $6.66 $752.16M 4.44 $1.45
Abrdn Healthcare Investors  HQH $14.26
-4.04
$743.37M $427.4K $13.77 $14.75 $743.37M 4.03 $3.53
John Hancock Tax-Advantaged Dividend Income Fund  HTD $20.98
-5.45
$743.36M $235.87K $20.8 $22.04 $743.36M 2.84 $7.37
BlackRock MuniYield Quality Fund III  MYI $10.69
-1.75
$710.54M $447.1K $10.59 $10.8 $710.54M 17.24 $0.62
BlackRock Enhanced Large Cap Core Fund  CII $16.5
-1.96
$692.46M $442.21K $15.22 $17.01 $692.46M 5.76 $2.86
Flaherty & Crumrine Preferred Securities Income Fund  FFC $14.37
-2.18
$692.32M $330.4K $14.2 $14.63 $692.32M 4.53 $3.17
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