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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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Morgan Stanley Emerging Markets Domestic Debt Fund  EDD $4.56
-0.11
$297.58M $216.77K $4.55 $4.62 $297.58M 8.00 $0.57
BlackRock Municipal Income Quality Trust  BYM $11.46
+0.44
$296.85M $59.91K $11.4 $11.48 $296.85M 63.66 $0.18
Hedef Holding A.S  HEDEF.IS $25.2 0.79 USD
-0.79
$9.45B 296.77M USD $537.57K 16.88K USD $25.1 0.79 USD $26.14 0.82 USD $9.45B 296.77M USD 0 -$2.14 -0.06 USD
Nuveen Global High Income Fund  JGH $12.79
+0.16
$296.44M $47.85K $12.78 $12.94 $296.44M 7.02 $1.82
Virtus Convertible & Income Fund  NCV $3.27
-0.3
$295.52M $816.14K $3.25 $3.3 $295.52M 36.33 $0.09
BNY Mellon Strategic Municipal Bond Fund  DSM $5.94
+1.37
$293.61M $126.5K $5.88 $5.94 $293.61M 31.26 $0.19
Nuveen S&P 500 Dynamic Overwrite Fund  SPXX $16.33
+1.11
$293.29M $55.17K $16.24 $16.39 $293.29M 6.11 $2.67
Barings Global Short Duration High Yield Fund  BGH $14.45
+0.21
$289.93M $38.15K $14.4 $14.47 $289.93M 6.09 $2.37
Financial 15 Split Corp.  FTN.TO $8.16 6.06 USD
+0.44
$387.06M 287.22M USD $223.07K 165.53K USD $8.09 6 USD $8.19 6.08 USD $387.06M 287.22M USD 0 -$1 -0.7 USD
Nuveen California Municipal Value Fund  NCA $8.67
+0.23
$287.05M $51.58K $8.66 $8.7 $287.05M 16.35 $0.53
BlackRock Floating Rate Income Trust  BGT $12.76
-1.09
$287.05M $112.67K $12.76 $12.9 $287.05M 7.29 $1.75
PIMCO Strategic Income Fund  RCS $6.21
+0.81
$286.1M $65.86K $6.15 $6.23 $286.1M 10.18 $0.61
Bitcoin Group SE  ADE.DE $51.9 56.73 USD
-4.6
$261.44M 285.79M USD $23.84K 26.06K USD $51.9 56.73 USD $54.9 60.01 USD $261.44M 285.79M USD 152.64 $0.34 0.37 USD
WhiteHorse Finance  WHF $12.27
+1.4
$285.19M $62.09K $12.09 $12.29 $285.19M 14.96 $0.82
Putnam Managed Municipal Income Trust  PMM $6.2
+0.81
$283.58M $173.15K $6.12 $6.2 $283.58M 26.95 $0.23
ClearBridge MLP and Midstream Total Return Fund  CTR $40.68
+0.84
$280.16M $11.16K $40.42 $40.86 $280.16M 8.33 $4.88
Platinum Capital Limited  PMC.AX $1.41 0.93 USD
+0.71
$416.56M 275.7M USD $171.16K 113.28K USD $1.41 0.93 USD $1.41 0.93 USD $416.56M 275.7M USD 23.50 $0.06 0.04 USD
China Merchants China Direct Investments Limited  0133.HK $14.02 1.79 USD
+0.14
$2.14B 273.08M USD $368K 47.05K USD $13.92 1.78 USD $14.1 1.8 USD $2.14B 273.08M USD 46.73 $0.3 0.04 USD
Fonterra Shareholders Fund  FSF.NZ $4.08 2.52 USD
+1.49
$438.24M 270.43M USD $50.7K 31.29K USD $4 2.47 USD $4.09 2.52 USD $438.24M 270.43M USD 0 $0 0 USD
International Genius Company  0033.HK $3.56 0.46 USD
-5.57
$2.1B 269.1M USD $1.11M 142.44K USD $3.4 0.43 USD $3.77 0.48 USD $2.1B 269.1M USD 0 -$0.08 -0.01 USD
Abrdn Emerging Markets Equity Income Fund  AEF $5.28
+0.02
$268.02M $47.81K $5.28 $5.33 $268.02M 9.26 $0.57
Fonterra Shareholders Fund  FSF.AX $3.75 2.48 USD
0
$402.79M 266.59M USD $693 458.67 USD $3.72 2.46 USD $3.75 2.48 USD $402.79M 266.59M USD 0 $0 0 USD
Morgan Stanley India Investment Fund  IIF $26.75
+0.07
$266.08M $24.85K $26.69 $26.99 $266.08M 5.44 $4.91
MFS Charter Income Trust  MCR $6.27
+0.24
$265.55M $63.03K $6.25 $6.28 $265.55M 16.50 $0.38
LMP Capital and Income Fund  SCD $15.48
+0.75
$265.29M $61.81K $15.36 $15.48 $265.29M 10.45 $1.48
PIMCO Municipal Income Fund III  PMX $7.88
+0.9
$263.41M $134.6K $7.78 $7.88 $263.41M 12.31 $0.64
Eaton Vance National Municipal Opportunities Trust  EOT $16.84
+0.24
$263.12M $45.15K $16.7 $16.88 $263.12M 18.10 $0.93
Western Asset High Yield Defined Opportunity Fund  HYI $11.6
-0.26
$262.86M $83.87K $11.58 $11.66 $262.86M 21.88 $0.53
RiverNorth Opportunities Fund  RIV $12.25
+0.57
$262.8M $99.46K $12.19 $12.29 $262.8M 8.16 $1.5
DoubleLine Opportunistic Credit Fund  DBL $15.36
+0.92
$262.21M $99.1K $15.23 $15.39 $262.21M 7.95 $1.93
Bellevue Group AG  BBN.SW $17.5 19.91 USD
-0.57
$230.23M 261.95M USD $4.96K 5.65K USD $17.4 19.8 USD $17.65 20.08 USD $230.23M 261.95M USD 15.21 $1.15 1.31 USD
First Trust Senior Floating Rate Income Fund II  FCT $10.08
-0.69
$261.91M $332.44K $10.06 $10.18 $261.91M 8.92 $1.13
VEF AB (publ)  VEFAB.ST $2.42 0.24 USD
+0.21
$2.67B 260.18M USD $314.85K 30.73K USD $2.41 0.23 USD $2.49 0.24 USD $2.67B 260.18M USD 5.76 $0.42 0.04 USD
MFS Multimarket Income Trust  MMT $4.68
+0.69
$259.38M $102.48K $4.66 $4.7 $259.38M 15.59 $0.3
Invesco Pennsylvania Value Municipal Income Trust  VPV $10.86
+0.56
$258.79M $21.48K $10.8 $10.89 $258.79M 18.09 $0.6
BlackRock New York Municipal Income Trust  BNY $10.71
+0.37
$258.29M $52.54K $10.65 $10.74 $258.29M 32.45 $0.33
Franklin Limited Duration Income Trust  FTF $6.34
-0.31
$256.17M $174.64K $6.34 $6.39 $256.17M 7.63 $0.83
BlackRock Income Trust  BKT $11.93
+0.34
$254.2M $104.41K $11.82 $11.93 $254.2M 17.28 $0.69
Taaleri Oyj  TAALA.HE $8.21 8.97 USD
+0.12
$231.49M 253.05M USD $6.43K 7.03K USD $8.19 8.95 USD $8.29 9.06 USD $231.49M 253.05M USD 7.97 $1.03 1.13 USD
Allspring Multi-Sector Income Fund  ERC $8.98
+0.22
$252.04M $248.98K $8.95 $8.99 $252.04M 12.47 $0.72
Templeton Emerging Markets Income Fund  TEI $5.33
-0.37
$251.73M $166.61K $5.28 $5.4 $251.73M 7.10 $0.75
Catella AB (publ)  CAT-B.ST $29.2 2.85 USD
-0.17
$2.58B 251.58M USD $20.94K 2.04K USD $29.2 2.85 USD $29.6 2.89 USD $2.58B 251.58M USD 208.57 $0.14 0.01 USD
ABC arbitrage SA  ABCA.PA $3.85 4.2 USD
-1.03
$228.12M 249.36M USD $42.43K 46.38K USD $3.84 4.2 USD $3.9 4.26 USD $228.12M 249.36M USD 13.73 $0.28 0.31 USD
Nuveen AMT-Free Municipal Value Fund  NUW $13.88
+1.17
$249.16M $90.65K $13.66 $13.88 $249.16M 28.91 $0.48
China Vered Financial Holding Corporation Limited  0245.HK $0.05999 0.0070 USD
-5.17
$1.91B 244.13M USD $329.39M 42.12M USD $0.04 0.0056 USD $0.08 0.01 USD $1.91B 244.13M USD 0 $0 0 USD
Nuveen Core Equity Alpha Fund  JCE $15
+1.01
$241.42M $70.84K $14.77 $15 $241.42M 5.95 $2.52
Fair Oaks Income Limited  FA17.L $0.5699
0
$240.58M $3.33M $0 $0 $240.58M 8.14 $0.07
Fair Oaks Income Limited  FAIR.L $0.56
0
$240.58M $89.16K $0.54 $0.5699 $240.58M 7.92 $0.07
PIMCO Municipal Income Fund  PMF $9.17
+0.66
$240.49M $54.03K $9.08 $9.17 $240.49M 13.68 $0.67
Cohen & Steers Select Preferred and Income Fund  PSF $19.78
+1.38
$237.92M $68.22K $19.52 $19.81 $237.92M 13.73 $1.44
Argo Global Listed Infrastructure Limited  ALI.AX $2.02 1.34 USD
-0.98
$359.11M 237.68M USD $126.6K 83.79K USD $2.01 1.33 USD $2.05 1.36 USD $359.11M 237.68M USD 67.33 $0.03 0.02 USD
The Mexico Fund  MXF $16
+0.69
$236.35M $26.17K $15.9 $16.1 $236.35M 7.01 $2.28
Eaton Vance California Municipal Bond Fund  EVM $9.51
+0.11
$234.64M $53.45K $9.5 $9.61 $234.64M 28.81 $0.33
BlackRock MuniVest Fund II  MVT $11.05
+1.01
$230.52M $55.12K $10.92 $11.05 $230.52M 29.07 $0.38
Clough Global Opportunities Fund  GLO $5.38
+0.94
$230.43M $119.01K $5.36 $5.39 $230.43M 0 -$0.36
AMCIL Limited  AMH.AX $1.1 0.73 USD
0
$346.94M 229.62M USD $113.86K 75.36K USD $1.1 0.72 USD $1.12 0.74 USD $346.94M 229.62M USD 55.00 $0.02 0.01 USD
BlackRock MuniYield Quality Fund II  MQT $10.29
+0.1
$227.97M $42.93K $10.26 $10.31 $227.97M 38.11 $0.27
TCW Strategic Income Fund  TSI $4.74
+0.85
$226.5M $93.47K $4.69 $4.74 $226.5M 10.08 $0.47
Apollo Senior Floating Rate Fund  AFT $14.54
+0.21
$226.44M $66.58K $14.46 $14.59 $226.44M 6.29 $2.31
Platinum Asia Investments Limited  PAI.AX $0.92 0.61 USD
0
$340.21M 225.17M USD $187.58K 124.15K USD $0.92 0.61 USD $0.93 0.61 USD $340.21M 225.17M USD 0 $0 0 USD
MFS Municipal Income Trust  MFM $5.46
+2.06
$224.88M $138.23K $5.34 $5.46 $224.88M 182.00 $0.03
BlackRock MuniHoldings Quality Fund II  MUE $10.2
+0.39
$223.56M $38.08K $10.17 $10.21 $223.56M 28.33 $0.36
Sprott Focus Trust  FUND $7.48
+1.22
$223.26M $45.35K $7.42 $7.5 $223.26M 8.04 $0.93
Virtus Convertible & Income Fund II  NCZ $2.92
-0.17
$222.26M $664.12K $2.9 $2.94 $222.26M 29.19 $0.1
Nuveen Real Estate Income Fund  JRS $7.64
+2.14
$220.74M $162.31K $7.51 $7.69 $220.74M 5.45 $1.4
Pioneer High Income Fund  PHT $7.52
+0.94
$220.65M $124.83K $7.43 $7.52 $220.65M 6.11 $1.23
Virtus Diversified Income & Convertible Fund  ACV $21.22
+0.24
$220.06M $49.56K $21.06 $21.36 $220.06M 11.85 $1.79
Invesco Trust for Investment Grade New York Municipals  VTN $11.24
0
$218.93M $46.31K $11.23 $11.3 $218.93M 13.22 $0.85
Tortoise Midstream Energy Fund  NTG $42.95
+0.19
$218.74M $34.38K $42.5 $43.21 $218.74M 28.82 $1.49
Lazard Global Total Return and Income Fund  LGI $16.66
+0.3
$216.79M $21.12K $16.58 $16.78 $216.79M 5.48 $3.04
Canadian Banc Corp.  BK.TO $10.78 8 USD
<0.01
$292.05M 216.72M USD $42.82K 31.77K USD $10.74 7.97 USD $10.84 8.04 USD $292.05M 216.72M USD 0 -$1.81 -1.3 USD
North American Financial 15 Split Corp.  FFN.TO $5.59 4.15 USD
+0.96
$290.64M 215.67M USD $152.86K 113.43K USD $5.47 4.06 USD $5.6 4.16 USD $290.64M 215.67M USD 0 -$1.3 -0.9 USD
Japan Smaller Capitalization Fund  JOF $7.58
+0.4
$214.77M $58.52K $7.57 $7.61 $214.77M 4.59 $1.65
Volta Finance Limited  VTA.AS $5.35 5.85 USD
+0.94
$195.71M 213.93M USD $14.74K 16.11K USD $5.3 5.79 USD $5.35 5.85 USD $195.71M 213.93M USD 4.27 $1.25 1.37 USD
SWK  SWKH $16.99
+3.09
$211.91M $54.17K $16.25 $16.99 $211.91M 17.69 $0.96
Apollo Tactical Income Fund  AIF $14.64
+0.27
$211.81M $38.58K $14.6 $14.74 $211.81M 6.09 $2.4
Wells Fargo Advantage Funds - Allspring Global Dividend Opportunity Fund  EOD $4.86
-0.21
$209.93M $95.58K $4.86 $4.92 $209.93M 12.15 $0.4
Miller/Howard High Income Equity Fund  HIE $11.21
+0.54
$209.52M $22.84K $11.08 $11.3 $209.52M 112.09 $0.1
Credit Suisse High Yield Bond Fund  DHY $2.02
-1.94
$209.1M $496.39K $2.02 $2.07 $209.1M 9.18 $0.22
RAM Essential Services Property Fund  REP.AX $0.6199 0.41 USD
+1.65
$315.45M 208.78M USD $723.94K 479.14K USD $0.6099 0.4 USD $0.63 0.41 USD $315.45M 208.78M USD 0 -$0.07 -0.04 USD
Pioneer Municipal High Income Fund  MHI $9.14
0
$208.13M $29.28K $9.08 $9.25 $208.13M 228.50 $0.04
Nuveen Virginia Quality Municipal Income Fund  NPV $11.5
+0.87
$206.13M $48.79K $11.43 $11.53 $206.13M 31.94 $0.36
BlackRock Investment Quality Municipal Trust  BKN $11.97
-0.08
$205.95M $45.49K $11.97 $12.02 $205.95M 57.00 $0.21
Morgan Stanley China A Share Fund  CAF $11.75
+0.38
$204.08M $13.2K $11.71 $11.79 $204.08M 0 -$2.1
Eaton Vance Municipal Income 2028 Term Trust  ETX $18.7
-0.05
$203.55M $23.53K $18.7 $18.81 $203.55M 39.78 $0.47
Templeton Dragon Fund  TDF $8.02
+0.63
$203.33M $10.45K $7.97 $8.05 $203.33M 0 -$2.53
Neuberger Berman High Yield Strategies Fund  NHS $7.82
-0.51
$202.79M $193.12K $7.81 $7.95 $202.79M 48.87 $0.16
Aimia Inc.  AIM.TO $2.7 2 USD
-1.1
$269.13M 199.71M USD $60.68K 45.03K USD $2.65 1.97 USD $2.75 2.04 USD $269.13M 199.71M USD 0 -$2.17 -1.6 USD
Aimia  AIMFF $1.97
+0.51
$199.56M $150 $1.97 $1.97 $199.56M 0 -$1.59
RiverNorth/DoubleLine Strategic Opportunity Fund  OPP $8.65
-0.35
$198.7M $79.45K $8.64 $8.69 $198.7M 6.70 $1.29
Dividend Growth Split Corp.  DGS.TO $6.11 4.53 USD
-0.16
$266.55M 197.79M USD $41.78K 31K USD $6.08 4.51 USD $6.16 4.57 USD $266.55M 197.79M USD 8.48 $0.72 0.53 USD
Pioneer Municipal High Income Advantage Fund  MAV $8.21
+0.61
$196.34M $53.08K $8.17 $8.23 $196.34M 51.31 $0.16
BNY Mellon Municipal Bond Infrastructure Fund  DMB $10.58
+0.47
$194.74M $64.26K $10.55 $10.6 $194.74M 13.22 $0.8
Symphony International Holdings Limited  SIHL.L $0.38
+7.76
$192.51M $1.04M $0 $0 $192.51M 0 -$0.2
Pengana International Equities Limited  PIA.AX $1.13 0.75 USD
0
$290.61M 192.34M USD $103.17K 68.29K USD $1.13 0.75 USD $1.14 0.75 USD $290.61M 192.34M USD 6.64 $0.17 0.11 USD
Templeton Emerging Markets Fund  EMF $12.36
-0.37
$191.1M $11.6K $12.35 $12.6 $191.1M 11.33 $1.09
PIMCO California Municipal Income Fund II  PCK $5.85
+0.17
$188.68M $37.06K $5.85 $5.87 $188.68M 11.93 $0.49
Western Asset Inflation-Linked Income Fund  WIA $8.01
-0.06
$186.81M $21.61K $8.01 $8.07 $186.81M 0 -$0.02
Western Asset Investment Grade Defined Opportunity Trust  IGI $17.08
+0.18
$186.14M $11.42K $17.04 $17.15 $186.14M 26.68 $0.64
Aker Horizons ASA  AKH.OL $2.81 0.27 USD
+1.81
$1.94B 186.09M USD $830.16K 79.64K USD $2.75 0.26 USD $2.87 0.28 USD $1.94B 186.09M USD 0 -$6.49 -0.6 USD
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