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Trang kết quả 3 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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AllianceBernstein Global High Income Fund  AWF $10.13
+0.4
$873.51M $144.23K $10.09 $10.15 $873.51M 5.78 $1.75
BlackRock Municipal Income Fund  MUI $12.09
+3.11
$870.38M $2.37M $11.7 $12.1 $870.38M 22.38 $0.54
Nuveen New York AMT-Free Quality Municipal Income Fund  NRK $9.94
-0.2
$867.12M $298.78K $9.91 $10 $867.12M 11.83 $0.84
CHINA EB LTD  0165.HK $4 0.51 USD
0
$6.74B 861.92M USD $1.77M 226.06K USD $3.97 0.51 USD $4.06 0.52 USD $6.74B 861.92M USD 0 -$1.13 -0.1 USD
Magellan Financial Group Limited  MFG.AX $7.42 4.91 USD
+1.09
$1.3B 859.82M USD $660.09K 436.89K USD $7.29 4.82 USD $7.45 4.93 USD $1.3B 859.82M USD 5.84 $1.27 0.84 USD
PennantPark Floating Rate Capital  PFLT $9.71
+2.43
$854.05M $939.77K $9.49 $9.8 $854.05M 7.08 $1.37
JIUDING INVESTMENT  600053.SS $14.09 1.96 USD
+9.99
$6.11B 849.36M USD $17.22M 2.39M USD $12.76 1.77 USD $14.09 1.96 USD $6.11B 849.36M USD 1409.00 $0.01 0.001 USD
Eaton Vance Tax-Managed Global Buy-Write Opportunities Fund  ETW $7.79
+0.39
$845.98M $368.62K $7.75 $7.83 $845.98M 7.71 $1.01
SLR Inv  SLRC $15.5
+2.38
$845.6M $274.66K $15.13 $15.58 $845.6M 8.80 $1.76
Abrdn Total Dynamic Dividend Fund  AOD $7.96
+1.27
$839.23M $302.9K $7.9 $7.99 $839.23M 4.12 $1.93
Australian United Investment Company Limited  AUI.AX $10.03 6.64 USD
-0.2
$1.25B 824.62M USD $56.63K 37.48K USD $10.03 6.64 USD $10.12 6.7 USD $1.25B 824.62M USD 25.71 $0.39 0.26 USD
ClearBridge Energy Midstream Opportunity Fund  EMO $44.93
+1.72
$817.29M $46.62K $43.81 $46.18 $817.29M 2.23 $20.07
Mutares SE & Co. KGaA  MUX.DE $34.7 37.93 USD
+1.46
$740.79M 809.78M USD $31.2K 34.11K USD $34 37.17 USD $34.7 37.93 USD $740.79M 809.78M USD 0 -$1.93 -2.1 USD
PIMCO Corporate & Income Strategy Fund  PCN $12.62
+0.64
$807.4M $233.23K $12.39 $12.65 $807.4M 9.27 $1.36
Cornerstone Total Return Fund  CRF $6.72
+1.82
$795.83M $1.31M $6.6 $6.79 $795.83M 4.63 $1.45
Pacific Century Regional Developments Limited  P15.SI $0.4 0.3 USD
0
$1.06B 793.47M USD $410.1K 307.35K USD $0.4 0.3 USD $0.4 0.3 USD $1.06B 793.47M USD 0 -$0.01 -0.007 USD
Abrdn Healthcare Investors  HQH $15.1
-0.07
$787.16M $143.07K $15.02 $15.23 $787.16M 4.27 $3.53
BlackRock MuniYield Quality Fund  MQY $10.92
0
$784.42M $131.06K $10.85 $10.94 $784.42M 57.47 $0.19
Abrdn Healthcare Opportunities Fund  THQ $18.91
-0.89
$782.04M $156.72K $18.91 $19.19 $782.04M 4.12 $4.58
PIMCO High Income Fund  PHK $4.57
+0.88
$781.61M $635.34K $4.55 $4.61 $781.61M 7.37 $0.62
John Hancock Tax-Advantaged Dividend Income Fund  HTD $22.03
+0.59
$780.56M $47.45K $21.9 $22.44 $780.56M 2.98 $7.37
Calamos Convertible and High Income Fund  CHY $9.87
+1.23
$769.51M $201.92K $9.76 $9.89 $769.51M 4.21 $2.34
Partners Group Private Equity Limited  PEY.L $9.86 10.78 USD
+1.65
$681.83M 745.33M USD $14.48K 15.83K USD $9.66 10.56 USD $9.86 10.78 USD $681.83M 745.33M USD 6.24 $1.58 1.73 USD
Calamos Convertible Opportunities and Income Fund  CHI $9.62
+1.96
$733.75M $178.19K $9.46 $9.64 $733.75M 4.39 $2.19
MA Financial Group Limited  MAF.AX $6.08 4.02 USD
+0.66
$1.1B 729.74M USD $253.16K 167.56K USD $6.01 3.98 USD $6.15 4.07 USD $1.1B 729.74M USD 24.32 $0.25 0.17 USD
Flaherty & Crumrine Preferred Securities Income Fund  FFC $15.06
+1.01
$725.56M $88.41K $14.97 $15.1 $725.56M 4.75 $3.17
BlackRock Enhanced Large Cap Core Fund  CII $17.27
-0.29
$724.77M $90.86K $17.26 $17.48 $724.77M 6.03 $2.86
Associated Capital  AC $34.06
+0.71
$720.45M $7.16K $33 $34.31 $720.45M 16.37 $2.08
PM Capital Global Opportunities Fund Limited  PGF.AX $2.26 1.5 USD
-0.88
$1.08B 717.14M USD $333.7K 220.86K USD $2.23 1.48 USD $2.3 1.52 USD $1.08B 717.14M USD 7.53 $0.3 0.2 USD
Diversified United Investment Limited  DUI.AX $5.01 3.32 USD
+0.2
$1.08B 714.94M USD $13.08K 8.66K USD $5.01 3.32 USD $5.03 3.33 USD $1.08B 714.94M USD 29.47 $0.17 0.11 USD
Eaton Vance Enhanced Equity Income Fund  EOI $17.4
+0.17
$709.5M $58.2K $17.35 $17.57 $709.5M 2.94 $5.9
Brookfield Real Assets Income Fund  RA $12.64
+0.24
$698.42M $191.83K $12.6 $12.78 $698.42M 10.71 $1.18
Abrdn Income Credit Strategies Fund  ACP $5.53
+0.36
$693.85M $614.51K $5.51 $5.56 $693.85M 4.45 $1.24
BlackRock MuniYield Quality Fund III  MYI $10.43
+0.1
$693.25M $179.66K $10.39 $10.48 $693.25M 57.94 $0.18
Blackrock Resources & Commodities Strategy Trust  BCX $8.77
+1.15
$685.75M $189.98K $8.67 $8.86 $685.75M 0 -$0.35
Zhuhai Huajin Capital Co., Ltd.  000532.SZ $14.28 1.99 USD
+2.44
$4.92B 684.43M USD $10.06M 1.4M USD $13.88 1.93 USD $14.46 2.01 USD $4.92B 684.43M USD 31.73 $0.45 0.06 USD
CBRE Global Real Estate Income Fund  IGR $4.83
+2.33
$683.43M $431.76K $4.76 $4.87 $683.43M 0 -$0.38
Nuveen Credit Strategies Income Fund  JQC $5.01
-0.79
$682.36M $2.07M $5 $5.09 $682.36M 8.34 $0.6
Nuveen Select Tax-Free Income Portfolio  NXP $13.77
+0.07
$677.26M $110.24K $13.73 $13.83 $677.26M 8.77 $1.57
GAMCO Global Gold, Natural Resources & Income Trust  GGN $4.3
-0.46
$669.14M $892.81K $4.28 $4.35 $669.14M 14.82 $0.29
XINLI FINANCE  600318.SS $9.29 1.29 USD
+1.98
$4.76B 662.3M USD $51.4M 7.15M USD $9.04 1.26 USD $9.41 1.31 USD $4.76B 662.3M USD 132.71 $0.07 0.009 USD
Fidus Inv  FDUS $18.55
+1.7
$644.27M $201.29K $18.2 $18.72 $644.27M 7.72 $2.4
PIMCO Income Strategy Fund II  PFN $7.06
+0.57
$642.28M $305.85K $7.02 $7.1 $642.28M 0 -$0.75
Life & Banc Split Corp.  LBS.TO $8.27 6.14 USD
+1.35
$859.82M 638.03M USD $57.84K 42.92K USD $8.17 6.06 USD $8.27 6.14 USD $859.82M 638.03M USD 15.90 $0.52 0.39 USD
Invesco Municipal Opportunity Trust  VMO $9.26
-0.22
$624.5M $541.2K $9.11 $9.28 $624.5M 9.54 $0.97
Plato Income Maximiser Limited  PL8.AX $1.26 0.83 USD
+0.4
$943.28M 624.32M USD $646.05K 427.59K USD $1.25 0.83 USD $1.28 0.85 USD $943.28M 624.32M USD 12.59 $0.1 0.07 USD
Alaris Equity Partners Income Trust  AD-UN.TO $18.44 13.68 USD
-0.32
$840.41M 623.63M USD $27.09K 20.1K USD $18.41 13.66 USD $18.65 13.84 USD $840.41M 623.63M USD 3.62 $5.08 3.77 USD
Abrdn Asia-Pacific Income Fund  FAX $15.01
+0.33
$619.65M $96.29K $14.9 $15.07 $619.65M 5.55 $2.7
The India Fund  IFN $15.32
+1.79
$611.23M $98.75K $15.3 $15.44 $611.23M 4.83 $3.17
John Hancock Premium Dividend Fund  PDT $12.37
+1.06
$608.42M $87.59K $12.29 $12.5 $608.42M 3.09 $4
Vinci Partners Investments  VINP $9.45
+0.75
$605.24M $49.87K $9.23 $9.57 $605.24M 30.48 $0.31
John Hancock Financial Opportunities Fund  BTO $30.44
+1.64
$601.67M $23.83K $30.06 $30.78 $601.67M 4.26 $7.14
Noah  NOAH $8.46
-0.59
$600.4M $107.51K $8.46 $8.95 $600.4M 9.29 $0.91
Bangkok Commercial Asset Management Public Company Limited  BAM.BK $6.6 0.19 USD
+3.12
$21.33B 600.21M USD $17.72M 498.64K USD $6.35 0.18 USD $6.7 0.19 USD $21.33B 600.21M USD 13.19 $0.5 0.01 USD
ASA Gold and Precious Metals  ASA $30.74
-1.54
$584.53M $88.62K $29.94 $31.42 $584.53M 5.12 $6
BlackRock Enhanced Global Dividend Trust  BOE $10.19
-0.29
$581.09M $144.21K $10.17 $10.27 $581.09M 9.99 $1.02
BlackRock TCP Capital  TCPC $6.79
+2.26
$577.67M $484.46K $6.65 $6.84 $577.67M 0 -$0.79
BlackRock MuniHoldings Fund  MHD $11.06
+0.09
$576.69M $39.13K $11.01 $11.09 $576.69M 50.27 $0.22
Virtus Equity & Convertible Income Fund  NIE $20.81
+0.68
$576.62M $47.82K $20.72 $20.92 $576.62M 4.42 $4.7
BlackRock MuniHoldings New Jersey Quality Fund  MUJ $10.81
-0.46
$574.93M $97.27K $10.79 $10.89 $574.93M 51.47 $0.21
Crescent Capital BDC  CCAP $15.5
+2.18
$574.45M $123.03K $14.98 $15.54 $574.45M 7.78 $1.99
Navigator Global Investments Limited  NGI.AX $1.76 1.16 USD
+1.73
$862.54M 570.88M USD $174.27K 115.34K USD $1.71 1.13 USD $1.78 1.17 USD $862.54M 570.88M USD 3.52 $0.5 0.33 USD
Nuveen California AMT-Free Quality Municipal Income Fund  NKX $11.98
+2.09
$569.79M $183.06K $11.72 $11.98 $569.79M 14.09 $0.85
WAM Global Limited  WGB.AX $2.36 1.56 USD
+1.29
$840.65M 556.39M USD $270.64K 179.12K USD $2.32 1.54 USD $2.36 1.56 USD $840.65M 556.39M USD 6.94 $0.34 0.23 USD
Gladstone Capital  GLAD $24.92
+1.36
$556.35M $106.57K $24.58 $25.2 $556.35M 5.36 $4.64
BlackRock Multi-Sector Income Trust  BIT $13.73
+0.37
$553.61M $147.44K $13.53 $13.78 $553.61M 11.25 $1.22
Eaton Vance Risk-Managed Diversified Equity Income Fund  ETJ $8.17
+1.62
$549.86M $194.99K $8.04 $8.23 $549.86M 4.08 $2
BlackRock Core Bond Trust  BHK $10.13
+0.1
$548.24M $87.79K $10.09 $10.19 $548.24M 56.27 $0.18
Calamos Dynamic Convertible and Income Fund  CCD $20.37
+0.39
$547.49M $40.8K $20.2 $20.46 $547.49M 4.69 $4.34
Svolder AB (publ)  SVOL-B.ST $53.15 5.19 USD
-1.21
$5.61B 547.24M USD $47.46K 4.63K USD $52.85 5.16 USD $53.95 5.27 USD $5.61B 547.24M USD 12.36 $4.3 0.42 USD
Invesco Value Municipal Income Trust  IIM $11.56
+0.09
$544.11M $95.84K $11.52 $11.59 $544.11M 9.88 $1.17
Eaton Vance Municipal Bond Fund  EIM $9.54
+0.37
$543.04M $142.44K $9.5 $9.55 $543.04M 6.44 $1.48
Invesco Senior Income Trust  VVR $3.52
+1.44
$540.62M $502.34K $3.48 $3.55 $540.62M 9.02 $0.39
Hedef Holding A.S  HEDEF.IS $9.09 0.29 USD
+7.19
$17.04B 535.25M USD $21.04M 660.73K USD $8.46 0.27 USD $9.32 0.29 USD $17.04B 535.25M USD 33.66 $0.27 0.008 USD
Adams Natural Resources Fund  PEO $20.32
+1.45
$534.1M $53.63K $20.15 $20.59 $534.1M 16.00 $1.27
Western Asset Managed Municipals Fund  MMU $9.71
+0.31
$530.35M $123.61K $9.69 $9.75 $530.35M 11.16 $0.87
Western Asset Emerging Markets Debt Fund  EMD $9.12
+1.33
$530.15M $235.82K $9.03 $9.12 $530.15M 8.60 $1.06
EQT Holdings Limited  EQT.AX $29.84 19.75 USD
-0.33
$798.51M 528.5M USD $22.36K 14.8K USD $29.56 19.56 USD $30.05 19.89 USD $798.51M 528.5M USD 42.02 $0.71 0.47 USD
Djerriwarrh Investments Limited  DJW.AX $3 1.99 USD
+0.33
$789.16M 522.31M USD $135.07K 89.4K USD $2.96 1.96 USD $3 1.99 USD $789.16M 522.31M USD 21.42 $0.14 0.09 USD
Western Asset Inflation-Linked Opportunities & Income Fund  WIW $8.52
+0.47
$521.29M $148.4K $8.49 $8.54 $521.29M 14.68 $0.58
Evli Oyj  EVLI.HE $18 19.68 USD
+0.02
$476.78M 521.19M USD $802 876.69 USD $18 19.68 USD $18.49 20.21 USD $476.78M 521.19M USD 11.04 $1.63 1.78 USD
Invesco Trust for Investment Grade Municipals  VGM $9.54
0
$517.37M $115.65K $9.49 $9.59 $517.37M 9.73 $0.98
Blackstone Strategic Credit 2027 Term Fund  BGB $11.51
+0.09
$514.09M $210.65K $11.49 $11.6 $514.09M 9.20 $1.25
BlackRock Debt Strategies Fund  DSU $9.91
0
$513.43M $243.7K $9.87 $9.94 $513.43M 10.77 $0.92
Gladstone Inv  GAIN $13.89
+1.46
$511.67M $148.43K $13.78 $14.01 $511.67M 7.27 $1.91
Invesco Municipal Trust  VKQ $9.19
+0.22
$508.53M $214.17K $9.13 $9.3 $508.53M 9.57 $0.96
BlackRock Limited Duration Income Trust  BLW $13.4
+0.45
$507.18M $42.67K $13.34 $13.45 $507.18M 10.63 $1.26
BlackRock Utilities, Infrastructure & Power Opportunities Trust  BUI $22.39
+0.9
$504.93M $47.06K $22.33 $22.67 $504.93M 14.08 $1.59
Dividend 15 Split Corp.  DFN.TO $5.42 4.02 USD
-0.18
$676.01M 501.64M USD $114.53K 84.99K USD $5.36 3.98 USD $5.43 4.03 USD $676.01M 501.64M USD 1.66 $3.26 2.42 USD
CION Inv  CION $9.45
+2.94
$501.1M $233.08K $9.26 $9.45 $501.1M 15.00 $0.63
PIMCO Municipal Income Fund II  PML $7.52
+0.53
$499.89M $222.22K $7.48 $7.54 $499.89M 0 -$0.05
Investment AB Öresund (publ)  ORES.ST $114.22 11.15 USD
-0.94
$5.09B 496.86M USD $23.05K 2.25K USD $113.58 11.09 USD $115.1 11.24 USD $5.09B 496.86M USD 32.17 $3.55 0.35 USD
Fiera Capital Corporation  FSZ.TO $6.15 4.56 USD
0
$664.87M 493.37M USD $187.17K 138.89K USD $6.12 4.54 USD $6.21 4.61 USD $664.87M 493.37M USD 26.73 $0.23 0.17 USD
PGIM Global High Yield Fund  GHY $12.03
+0.67
$492.31M $154.08K $11.96 $12.04 $492.31M 7.29 $1.65
Invesco Quality Municipal Income Trust  IQI $9.29
+0.54
$491.29M $144.57K $9.24 $9.33 $491.29M 9.38 $0.99
Nuveen Dow 30 Dynamic Overwrite Fund  DIAX $13.5
-1.03
$490.95M $56.4K $13.47 $13.59 $490.95M 8.08 $1.67
BlackRock Enhanced International Dividend Trust  BGY $5.26
+0.38
$488.85M $208.07K $5.24 $5.31 $488.85M 47.81 $0.11
The Westaim Corporation  WED.V $30.07 22.31 USD
-0.17
$652.71M 484.35M USD $3.99K 2.96K USD $29.59 21.95 USD $30.25 22.45 USD $652.71M 484.35M USD 0 -$1.05 -0.7 USD
KKR Income Opportunities Fund  KIO $11.45
+0.44
$476.13M $235.97K $11.39 $11.48 $476.13M 4.69 $2.44
Advent Convertible and Income Fund  AVK $10.78
-0.09
$475.92M $108.97K $10.71 $10.88 $475.92M 3.96 $2.72
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