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Trang kết quả 5 cho Khu vực: Dịch vụ tài chính Ngành: Quản lý tài sản Thị trường chứng khoán - Báo giá & giá

Danh sách tất cả các chứng khoán và vốn chủ sở hữu kèm giá, vốn hoá thị trường, PE và EPS
Dịch vụ tài chính (1911)
Tên Tên Giá Giá % 24h
Biểu đồ 7n
24h% & 7n
Vốn hoá TT Vốn hóa thị trường KH. LƯỢNG Khối lượng Đáy 24h Đỉnh 24h Vốn hóa thị trường Tỉ lệ P/E EPS
Tên Tên Giá Giá % 24h
Biểu đồ 7n
24h% & 7n
Vốn hoá TT Vốn hóa thị trường KH. LƯỢNG Khối lượng Đáy 24h Đỉnh 24h Vốn hóa thị trường Tỉ lệ P/E EPS
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BNY Mellon Strategic Municipal Bond Fund  DSM $5.48
+0.18
$270.87M $157.74K $5.47 $5.53 $270.87M 8.30 $0.66
Invesco Municipal Income Opportunities Trust  OIA $5.68
-0.37
$270.8M $69.95K $5.68 $5.74 $270.8M 8.23 $0.69
Nuveen Preferred Securities & Income Opportunities Fund  JPI $19.2
-0.67
$270.72M $66.21K $19.05 $19.34 $270.72M 9.18 $2.09
Highland Funds I - Highland Opportunities and Income Fund  HFRO $4.88
-1.21
$269.85M $100.08K $4.86 $4.93 $269.85M 0 -$0.6
Argo Global Listed Infrastructure Limited  ALI.AX $2.27 1.5 USD
0
$403.55M 267.09M USD $18K 11.91K USD $2.25 1.49 USD $2.27 1.5 USD $403.55M 267.09M USD 32.42 $0.07 0.05 USD
NYLI MacKay DefinedTerm Muni Opportunities Fund  MMD $14.2
-0.77
$266.67M $62.8K $14.17 $14.33 $266.67M 14.05 $1.01
Western Asset High Yield Defined Opportunity Fund  HYI $11.59
-0.26
$262.68M $20.63K $11.5 $11.63 $262.68M 8.98 $1.29
Rivernorth Managed Duration Municipal Income Fund  RMM $13.23
-0.11
$261.06M $60.8K $13.21 $13.35 $261.06M 16.74 $0.79
Putnam Managed Municipal Income Trust  PMM $5.84
-0.17
$260.83M $147.49K $5.83 $5.88 $260.83M 4.02 $1.45
Gelecek Varlik Yönetimi Anonim Sirketi  GLCVY.IS $59.25 1.86 USD
-2.87
$8.28B 259.94M USD $1.31M 41.21K USD $58.6 1.84 USD $63.6 2 USD $8.28B 259.94M USD 13.34 $4.44 0.14 USD
Platinum Capital Limited  PMC.AX $1.32 0.87 USD
0
$391.62M 259.19M USD $67.86K 44.91K USD $1.32 0.87 USD $1.32 0.87 USD $391.62M 259.19M USD 18.85 $0.07 0.05 USD
Catella AB (publ)  CAT-B.ST $29.35 2.86 USD
+1.61
$2.59B 253.28M USD $27.3K 2.66K USD $28.12 2.74 USD $29.15 2.85 USD $2.59B 253.28M USD 86.30 $0.34 0.03 USD
First Trust Senior Floating Rate Income Fund II  FCT $9.74
-1.22
$253.08M $70.23K $9.73 $9.92 $253.08M 10.58 $0.92
Eaton Vance National Municipal Opportunities Trust  EOT $16.05
-0.5
$250.78M $47.47K $16 $16.18 $250.78M 6.10 $2.63
MFS Charter Income Trust  MCR $5.99
-0.5
$250.01M $88.69K $5.98 $6.03 $250.01M 8.31 $0.72
CHINA MERCHANTS  0133.HK $12.8 1.64 USD
-1.39
$1.95B 249.31M USD $30.2K 3.86K USD $12.7 1.62 USD $12.8 1.64 USD $1.95B 249.31M USD 2.08 $6.13 0.78 USD
Franklin Limited Duration Income Trust  FTF $6.15
-0.65
$248.49M $218.56K $6.12 $6.25 $248.49M 12.30 $0.5
Allspring Multi-Sector Income Fund  ERC $8.85
-0.23
$248.28M $74.38K $8.84 $8.89 $248.28M 6.50 $1.36
PIMCO Strategic Income Fund  RCS $5.34
-4.3
$248.1M $275.29K $5.25 $5.61 $248.1M 8.21 $0.65
LMP Capital and Income Fund  SCD $14.59
-0.27
$248.03M $27.87K $14.48 $14.83 $248.03M 2.86 $5.1
TriplePoint Venture Growth BDC  TPVG $5.98
-3.08
$247.65M $249.98K $5.98 $6.17 $247.65M 7.29 $0.82
MFS Multimarket Income Trust  MMT $4.46
0
$246.65M $202.12K $4.45 $4.5 $246.65M 5.57 $0.8
Taylor Maritime Limited  TMI.L $0.7399
0
$246.09M $2.5K $0 $0 $246.09M 3.10 $0.24
Volta Finance Limited  VTA.AS $6.14 6.71 USD
-0.5
$224.57M 245.48M USD $4.69K 5.12K USD $6.08 6.65 USD $6.15 6.72 USD $224.57M 245.48M USD 4.65 $1.32 1.44 USD
BlackRock Income Trust  BKT $11.43
-0.17
$243.55M $68.3K $11.4 $11.46 $243.55M 81.64 $0.14
Templeton Emerging Markets Income Fund  TEI $5.12
-1.35
$241.81M $207.3K $5.12 $5.19 $241.81M 16.00 $0.32
Platinum Asia Investments Limited  PAI.AX $0.9799 0.65 USD
-1.51
$362.81M 240.13M USD $55.92K 37.01K USD $0.9799 0.65 USD $1 0.66 USD $362.81M 240.13M USD 7.00 $0.14 0.09 USD
Nuveen AMT-Free Municipal Value Fund  NUW $13.36
-0.15
$239.83M $85.58K $13.3 $13.42 $239.83M 8.78 $1.52
Morgan Stanley India Investment Fund  IIF $24.34
+0.45
$235.1M $91.32K $24.15 $24.6 $235.1M 3.83 $6.34
BlackRock New York Municipal Income Trust  BNY $9.74
0
$234.9M $20.69K $9.63 $9.76 $234.9M 0 $0
Japan Smaller Capitalization Fund  JOF $8.28
+0.12
$234.6M $87.4K $8.19 $8.33 $234.6M 6.22 $1.33
RiverNorth Opportunities Fund  RIV $10.9
-0.27
$234.05M $78.35K $10.86 $11.11 $234.05M 5.39 $2.02
North American Financial 15 Split Corp.  FFN.TO $5.4 4.01 USD
+0.09
$313.8M 232.86M USD $258.32K 191.69K USD $5.35 3.97 USD $5.49 4.07 USD $313.8M 232.86M USD 0.95 $5.68 4.21 USD
TCW Strategic Income Fund  TSI $4.8
-0.41
$229.37M $73.91K $4.78 $4.83 $229.37M 12.97 $0.37
Taaleri Oyj  TAALA.HE $7.41 8.1 USD
-0.8
$208.93M 228.39M USD $8.79K 9.61K USD $7.37 8.06 USD $7.47 8.17 USD $208.93M 228.39M USD 7.63 $0.97 1.06 USD
VEF AB (publ)  VEFAB.ST $1.87 0.18 USD
+1.63
$2.33B 227.84M USD $2.4M 233.93K USD $1.77 0.17 USD $1.88 0.18 USD $2.33B 227.84M USD 0 -$0.88 -0.08 USD
Cohen & Steers Select Preferred and Income Fund  PSF $18.91
+0.11
$227.45M $26.61K $18.51 $19.01 $227.45M 7.02 $2.69
Nuveen Core Equity Alpha Fund  JCE $13.46
-2.6
$226.58M $23.97K $13.31 $13.72 $226.58M 3.91 $3.44
Neuberger Berman High Yield Strategies Fund  NHS $7.43
+1.64
$225.77M $151.84K $7.27 $7.43 $225.77M 5.15 $1.44
Gozde Girisim Sermayesi Yatirim Ortakligi A.S.  GOZDE.IS $18.53 0.58 USD
-2.47
$7.13B 224.04M USD $643.81K 20.22K USD $18.07 0.57 USD $19.03 0.6 USD $7.13B 224.04M USD 0 -$20.58 -0.6 USD
PIMCO Municipal Income Fund III  PMX $6.69
+0.45
$223.69M $123.41K $6.62 $6.72 $223.69M 0 -$0.09
Pacific Current Group Limited  PAC.AX $11.18 7.4 USD
+0.09
$337.12M 223.13M USD $2.56K 1.7K USD $11.18 7.4 USD $11.22 7.43 USD $337.12M 223.13M USD 2.91 $3.83 2.53 USD
Templeton Dragon Fund  TDF $8.76
-2.01
$222.09M $90.32K $8.69 $8.91 $222.09M 8.18 $1.07
SWK  SWKH $18.11
+0.06
$221.9M $20.51K $18.11 $18.66 $221.9M 16.76 $1.08
WhiteHorse Finance  WHF $9.47
+1.39
$220.11M $125.03K $9.3 $9.59 $220.11M 20.14 $0.47
AMCIL Limited  AMH.AX $1.05 0.69 USD
0
$332.56M 220.11M USD $71.32K 47.2K USD $1.04 0.69 USD $1.07 0.7 USD $332.56M 220.11M USD 52.50 $0.02 0.01 USD
Nuveen Real Estate Income Fund  JRS $7.51
+0.13
$216.98M $73.53K $7.41 $7.6 $216.98M 8.53 $0.88
Eaton Vance California Municipal Bond Fund  EVM $8.78
-0.9
$216.63M $22.78K $8.77 $8.84 $216.63M 6.60 $1.33
Pioneer High Income Fund  PHT $7.31
-0.54
$214.49M $99.17K $7.26 $7.35 $214.49M 5.00 $1.46
Fair Oaks Income Limited  FAIR.L $0.52
-1.9
$213.65M $500K $0 $0 $213.65M 10.29 $0.05
Morgan Stanley China A Share Fund  CAF $12.42
+1.22
$213.33M $23.71K $12.34 $12.5 $213.33M 11.18 $1.11
The Mexico Fund  MXF $14.64
+1.24
$212.02M $85.21K $14.4 $14.76 $212.02M 0 -$0.48
Platinum Investment Management Limited  PTM.AX $0.55 0.36 USD
0
$320.19M 211.92M USD $281.45K 186.28K USD $0.55 0.36 USD $0.56 0.37 USD $320.19M 211.92M USD 13.75 $0.04 0.03 USD
BlackRock MuniVest Fund II  MVT $10.1
-0.1
$210.7M $41.23K $9.99 $10.18 $210.7M 43.91 $0.23
BlackRock MuniHoldings Quality Fund II  MUE $9.61
+0.52
$210.63M $71.86K $9.5 $9.65 $210.63M 35.59 $0.27
Virtus Convertible & Income Fund II  NCZ $10.99
-1.08
$209.13M $38.14K $10.92 $11.14 $209.13M 0.99 $11.04
PIMCO Municipal Income Fund  PMF $7.95
+0.38
$208.94M $131.3K $7.9 $7.97 $208.94M 0 -$0.14
BlackRock MuniYield Quality Fund II  MQT $9.42
0
$208.7M $55.96K $9.4 $9.47 $208.7M 62.79 $0.15
VNV Global AB (publ)  VNV.ST $16.22 1.58 USD
-2.99
$2.12B 207.37M USD $54.36K 5.31K USD $16.19 1.58 USD $16.9 1.65 USD $2.12B 207.37M USD 0 -$6.36 -0.6 USD
MFS Municipal Income Trust  MFM $5.03
+0.2
$207.17M $347.89K $5 $5.05 $207.17M 4.41 $1.14
Sprott Focus Trust  FUND $6.89
-1.01
$206.83M $38.01K $6.87 $6.99 $206.83M 114.83 $0.06
Wells Fargo Advantage Funds - Allspring Global Dividend Opportunity Fund  EOD $4.75
-1.86
$204.56M $74.08K $4.69 $4.82 $204.56M 3.29 $1.44
CHINA VERED FIN  0245.HK $0.04 0.0054 USD
0
$1.6B 204.43M USD $59.28M 7.58M USD $0.04 0.0054 USD $0.05 0.0057 USD $1.6B 204.43M USD 4.29 $0.01 0.001 USD
Credit Suisse High Yield Bond Fund  DHY $1.97
-0.51
$204.07M $371.35K $1.97 $2 $204.07M 5.32 $0.37
Pengana International Equities Limited  PIA.AX $1.18 0.78 USD
+1.29
$303.54M 200.9M USD $1 0.66 USD $1.18 0.78 USD $1.18 0.78 USD $303.54M 200.9M USD 5.89 $0.2 0.13 USD
Nuveen Virginia Quality Municipal Income Fund  NPV $10.95
+0.64
$199.79M $25.22K $10.85 $10.98 $199.79M 10.63 $1.03
SDITC  1697.HK $0.34 0.04 USD
-1.45
$1.56B 199.56M USD $124.2K 15.88K USD $0.32 0.04 USD $0.34 0.04 USD $1.56B 199.56M USD 11.16 $0.03 0.003 USD
Pioneer Municipal High Income Fund  MHI $8.74
+0.11
$199.02M $23.18K $8.74 $8.77 $199.02M 4.22 $2.07
Clough Global Opportunities Fund  GLO $4.59
-1.92
$196.3M $172.53K $4.57 $4.68 $196.3M 3.14 $1.46
abrdn Emerging Markets ex-China Fund  AEF $4.83
-1.02
$196.1M $224.06K $4.8 $4.92 $196.1M 12.38 $0.39
Bitcoin Group SE  ADE.DE $34 37.17 USD
-2.86
$179.09M 195.77M USD $19.86K 21.71K USD $33.14 36.23 USD $34.58 37.8 USD $179.09M 195.77M USD 283.33 $0.12 0.13 USD
Virtus Diversified Income & Convertible Fund  ACV $18.8
-1.98
$195.03M $20.58K $18.79 $19.27 $195.03M 4.06 $4.62
The Taiwan Fund  TWN $30.4
-1.46
$194.37M $5.15K $30.4 $30.94 $194.37M 2.24 $13.56
RiverNorth/DoubleLine Strategic Opportunity Fund  OPP $8.16
-0.24
$194.29M $70.69K $8.12 $8.25 $194.29M 8.32 $0.98
Eaton Vance Municipal Income 2028 Term Trust  ETX $17.68
-0.8
$192.48M $46.31K $17.68 $17.78 $192.48M 28.97 $0.61
Dividend Growth Split Corp.  DGS.TO $6 4.45 USD
-0.5
$258.89M 192.12M USD $167.76K 124.49K USD $5.95 4.42 USD $6.09 4.52 USD $258.89M 192.12M USD 4.61 $1.3 0.96 USD
Western Asset Global High Income Fund  EHI $6.34
0
$192.1M $75.93K $6.32 $6.4 $192.1M 6.96 $0.91
Western Asset Inflation-Linked Income Fund  WIA $8.16
+0.55
$190.42M $46.72K $8.08 $8.16 $190.42M 15.12 $0.54
Pioneer Municipal High Income Advantage Fund  MAV $7.87
0
$188.21M $51.28K $7.87 $7.91 $188.21M 4.68 $1.68
Fiducian Group Ltd  FID.AX $9 5.96 USD
0
$284.11M 188.04M USD $14.21K 9.4K USD $9 5.96 USD $9.14 6.05 USD $284.11M 188.04M USD 18.75 $0.48 0.32 USD
Chenavari Toro Income Fund Limited  TORO.L $0.54 0.58 USD
+0.94
$171.49M 187.46M USD $1.49K 1.62K USD $0 0 USD $0 0 USD $171.49M 187.46M USD 6.68 $0.08 0.09 USD
Lazard Global Total Return and Income Fund  LGI $14.34
-1.44
$186.6M $44.83K $14.21 $14.63 $186.6M 12.25 $1.17
RAM Essential Services Property Fund  REP.AX $0.56 0.37 USD
-0.88
$280.65M 185.75M USD $56.98K 37.71K USD $0.56 0.37 USD $0.5699 0.38 USD $280.65M 185.75M USD 0 -$0.03 -0.01 USD
Brockhaus Technologies AG  BKHT.DE $16.25 17.76 USD
0
$169.78M 185.59M USD $7.03K 7.69K USD $16.1 17.6 USD $16.35 17.87 USD $169.78M 185.59M USD 0 -$0.78 -0.8 USD
BlackRock Investment Quality Municipal Trust  BKN $10.72
+0.19
$184.45M $37.58K $10.69 $10.75 $184.45M 51.04 $0.21
Barings Participation Investors  MPV $17.3
+1.17
$183.77M $35.22K $16.84 $17.36 $183.77M 10.67 $1.62
Templeton Emerging Markets Fund  EMF $12.06
-1.23
$182.99M $10.41K $12.04 $12.21 $182.99M 6.48 $1.86
BNY Mellon Municipal Bond Infrastructure Fund  DMB $9.87
0
$181.67M $98.11K $9.86 $9.93 $181.67M 9.40 $1.05
Franklin Universal Trust  FT $7.18
-0.62
$180.45M $32.31K $7.17 $7.25 $180.45M 5.31 $1.35
Sprott Physical Platinum and Palladium Trust  SPPP.TO $13.24 9.82 USD
+3.44
$242.57M 180M USD $7.51K 5.57K USD $13.24 9.82 USD $13.38 9.93 USD $242.57M 180M USD 1.86 $7.11 5.28 USD
Symphony International Holdings Limited  SIHL.L $0.3499
+3.14
$179.69M $924 $0.4 $0.4 $179.69M 3.16 $0.11
Blackstone Senior Floating Rate 2027 Term Fund  BSL $13.76
-1.14
$179.04M $12.66K $13.75 $14.03 $179.04M 9.62 $1.43
MPC Münchmeyer Petersen Capital AG  MPCK.DE $4.63 5.06 USD
-1.28
$163.2M 178.4M USD $9.43K 10.3K USD $4.57 5 USD $4.69 5.13 USD $163.2M 178.4M USD 9.44 $0.49 0.54 USD
Aimia Inc.  AIM.TO $2.48 1.84 USD
-2.36
$236.62M 175.59M USD $18.4K 13.65K USD $2.44 1.81 USD $2.58 1.91 USD $236.62M 175.59M USD 0 -$0.75 -0.5 USD
BNY Mellon High Yield Strategies Fund  DHF $2.4
-0.62
$174.2M $398.75K $2.39 $2.42 $174.2M 5.32 $0.45
Invesco Pennsylvania Value Municipal Income Trust  VPV $9.71
-0.09
$173.45M $25.57K $9.67 $9.79 $173.45M 10.32 $0.94
Oxford Square Capital  OXSQ $2.48
-4.8
$173.08M $717.87K $2.46 $2.6 $173.08M 27.55 $0.09
PIMCO California Municipal Income Fund II  PCK $5.33
-0.37
$171.91M $82.45K $5.29 $5.38 $171.91M 0 -$0.02
Aimia  AIMFF $1.8
-1.64
$171.74M $4.4K $1.76 $1.84 $171.74M 0 -$0.54
Invesco Bond Fund  VBF $14.97
+0.13
$170.93M $39.73K $14.87 $15.07 $170.93M 9.12 $1.64
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