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Trang kết quả 3 cho 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
Tất cả các khối
Quản lý tài sản (1562)
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 Dự đoán
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 Dự đoán
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us BlackRock Credit Allocation Income Trust BTZ US $10.11
+0.5
$943.51M $190.49K $10.09 $10.12 $943.51M 9.19 $1.10
cn Shanghai Aj Group Co.,Ltd 600643.SS CN CN¥3.96 0.58 USD
-4.58
CN¥6.31B 930.87M USD CN¥16.53M 2.44M USD CN¥3.95 0.58 USD CN¥4.13 0.61 USD CN¥6.31B 930.87M USD 0 -CN¥1.26 -0.1 USD
Nuveen New York AMT-Free Quality Municipal Income Fund Nuveen New York AMT-Free Quality Municipal Income Fund NRK US $10.67
+1.04
$930.80M $206.41K $10.57 $10.67 $930.80M 33.34 $0.32
sg Pacific Century Regional Developments Limited P15.SI SG SGD 0.47 0.35 USD
0
SGD 1.23B 922.32M USD SGD 32.80K 24.58K USD SGD 0.47 0.35 USD SGD 0.47 0.35 USD SGD 1.23B 922.32M USD 0 -SGD 0.01 -0.007 USD
Tortoise Energy Infrastructure Tortoise Energy Infrastructure TYG US $42.53
+0.54
$914.99M $234.33K $42.04 $42.59 $914.99M 0 -$0.91
us AGF Management AGFMF US $14.25
0
$910.12M $100.00 $14.25 $14.25 $910.12M 11.58 $1.23
BlackRock Health Sciences Term Trust BlackRock Health Sciences Term Trust BMEZ US $14.55
0
$909.40M $217.40K $14.41 $14.69 $909.40M 5.72 $2.54
us Nuveen Select Tax-Free Income Portfolio NXP US $14.29
+0.28
$899.58M $98.53K $14.26 $14.36 $899.58M 25.07 $0.57
us John Hancock Tax-Advantaged Dividend Income Fund HTD US $25.08
+0.28
$888.63M $40.20K $25.08 $25.46 $888.63M 8.41 $2.98
us Blackrock Resources & Commodities Strategy Trust BCX US $11.57
-0.6
$882.07M $197.77K $11.43 $11.64 $882.07M 4.13 $2.80
us PIMCO Corporate & Income Strategy Fund PCN US $11.79
+0.43
$880.96M $170.27K $11.73 $11.82 $880.96M 9.28 $1.27
us AllianceBernstein Global High Income Fund AWF US $10.15
+0.3
$875.23M $262.02K $10.14 $10.19 $875.23M 13.53 $0.75
au Gryphon Capital Income Trust GCI.AX AU A$2.07 1.37 USD
+0.49
A$1.32B 871.28M USD A$1.12M 743.42K USD A$2.06 1.36 USD A$2.08 1.38 USD A$1.32B 871.28M USD 12.93 A$0.16 0.11 USD
us Barings BDC BBDC US $8.29
+0.61
$868.02M $459.89K $8.22 $8.34 $868.02M 9.75 $0.85
Navigator Global Investments Limited Navigator Global Investments Limited NGI.AX AU A$2.37 1.57 USD
-2.47
A$1.31B 865.12M USD A$765.22K 506.47K USD A$2.35 1.56 USD A$2.44 1.61 USD A$1.31B 865.12M USD 19.75 A$0.12 0.08 USD
MA Financial Group Limited MA Financial Group Limited MAF.AX AU A$6.62 4.38 USD
-1.19
A$1.31B 864.35M USD A$958.31K 634.27K USD A$6.51 4.31 USD A$6.77 4.48 USD A$1.31B 864.35M USD 110.33 A$0.06 0.04 USD
PIMCO High Income Fund PIMCO High Income Fund PHK US $4.56
+0.22
$850.29M $734.75K $4.54 $4.58 $850.29M 8.94 $0.51
BlackRock MuniYield Quality Fund BlackRock MuniYield Quality Fund MQY US $11.44
+0.7
$821.78M $357.10K $11.40 $11.47 $821.78M 36.90 $0.31
ca Alaris Equity Partners Income Trust AD-UN.TO CA CA$24.16 17.93 USD
-0.08
CA$1.10B 816.86M USD CA$51.57K 38.27K USD CA$24.11 17.89 USD CA$24.30 18.03 USD CA$1.10B 816.86M USD 11.72 CA$2.06 1.53 USD
Oxford Lane Capital Oxford Lane Capital OXLC US $8.32
-0.6
$812.45M $1.74M $8.27 $8.45 $812.45M 0 -$5.97
us Bain Capital Specialty Finance BCSF US $12.37
+0.08
$802.42M $275.22K $12.28 $12.57 $802.42M 10.85 $1.14
Eaton Vance Enhanced Equity Income Fund Eaton Vance Enhanced Equity Income Fund EOI US $19.42
+0.99
$796.25M $60.15K $19.27 $19.49 $796.25M 8.22 $2.36
GAMCO Global Gold, Natural Resources & Income Trust GAMCO Global Gold, Natural Resources & Income Trust GGN US $4.98
-1.19
$778.00M $894.97K $4.94 $5.05 $778.00M 2.47 $2.01
us Abrdn Healthcare Opportunities Fund THQ US $18.60
+0.27
$770.74M $78.85K $18.60 $18.82 $770.74M 0 -$0.70
us Flaherty & Crumrine Preferred Securities Income Fund FFC US $15.95
-0.13
$768.44M $117.77K $15.90 $16.05 $768.44M 10.77 $1.48
us Carlyle Secured Lending CGBD US $10.95
+0.83
$760.99M $910.64K $10.77 $11.02 $760.99M 15.64 $0.70
us Royce Micro-Cap Trust RMT US $14.22
+1.64
$760.46M $108.90K $14.06 $14.28 $760.46M 8.56 $1.66
us PennantPark Floating Rate Capital PFLT US $7.48
-1.32
$742.15M $2.00M $7.42 $7.70 $742.15M 11.87 $0.63
de Mutares SE & Co. KGaA MUX.DE DE €29.40 33.94 USD
+3.89
€640.48M 739.33M USD €112.51K 129.88K USD €28.85 33.3 USD €29.65 34.23 USD €640.48M 739.33M USD 0 -€11.19 -12.9 USD
us John Hancock Financial Opportunities Fund BTO US $37.17
+0.49
$736.59M $19.24K $37.16 $37.77 $736.59M 10.52 $3.53
us Calamos Dynamic Convertible and Income Fund CCD US $25.62
+1.59
$732.29M $76.45K $25.27 $25.80 $732.29M 5.25 $4.88
us BlackRock MuniYield Quality Fund III MYI US $10.98
+0.73
$729.81M $249.08K $10.91 $10.98 $729.81M 28.89 $0.38
us GCM Grosvenor GCMG US $12.05
+3.43
$727.62M $897.49K $11.61 $12.08 $727.62M 24.10 $0.50
au Diversified United Investment Ltd DUI.AX AU A$5.07 3.36 USD
0
A$1.09B 720.83M USD A$136.93K 90.63K USD A$5.05 3.34 USD A$5.09 3.37 USD A$1.09B 720.83M USD 29.82 A$0.17 0.11 USD
us Virtus Equity & Convertible Income Fund NIE US $26.00
+0.19
$720.43M $72.77K $26.00 $26.67 $720.43M 6.29 $4.13
ca Financial 15 Split Corp. FTN.TO CA CA$11.88 8.82 USD
+1.45
CA$967.78M 718.15M USD CA$128.32K 95.22K USD CA$11.79 8.75 USD CA$11.93 8.85 USD CA$967.78M 718.15M USD 4.58 CA$2.59 1.92 USD
fi Evli Oyj EVLI.HE FI €23.40 27.01 USD
-2.9
€619.75M 715.39M USD €3.80K 4.39K USD €23.30 26.9 USD €24.40 28.17 USD €619.75M 715.39M USD 16.13 €1.45 1.67 USD
us Nuveen Credit Strategies Income Fund JQC US $4.80
+0.42
$709.52M $777.10K $4.77 $4.81 $709.52M 17.14 $0.28
us Thornburg Income Builder Opportunities Trust TBLD US $21.97
+1.52
$704.84M $79.39K $21.60 $22.04 $704.84M 4.94 $4.44
us BlackRock Multi-Sector Income Trust BIT US $12.34
+0.49
$704.15M $356.80K $12.34 $12.39 $704.15M 11.64 $1.06
us Western Asset Diversified Income Fund WDI US $13.55
-0.07
$703.41M $227.99K $13.33 $13.65 $703.41M 9.81 $1.38
us Brookfield Real Assets Income Fund RA US $12.65
+0.64
$698.97M $186.67K $12.56 $12.67 $698.97M 11.29 $1.12
us Fidus Inv FDUS US $18.35
+1.77
$696.46M $515.93K $18.04 $18.37 $696.46M 8.11 $2.26
us BlackRock Utilities, Infrastructure & Power Opportunities Trust BUI US $28.10
-1.65
$689.08M $65.72K $28.08 $28.74 $689.08M 6.24 $4.50
au Plato Income Maximiser Limited PL8.AX AU A$1.38 0.91 USD
0
A$1.03B 681.3M USD A$824.24K 545.53K USD A$1.36 0.9 USD A$1.39 0.92 USD A$1.03B 681.3M USD 13.75 A$0.10 0.07 USD
us CBRE Global Real Estate Income Fund IGR US $4.49
+0.67
$679.79M $573.08K $4.48 $4.53 $679.79M 37.41 $0.12
SLR Inv SLR Inv SLRC US $12.42
+0.57
$677.57M $565.36K $12.27 $12.46 $677.57M 7.57 $1.64
New Mountain Finance New Mountain Finance NMFC US $7.16
-2.05
$676.28M $1.35M $7.10 $7.35 $676.28M 0 -$0.57
Adams Natural Resources Fund Adams Natural Resources Fund PEO US $24.49
-1.92
$673.36M $244.36K $23.91 $25.19 $673.36M 12.06 $2.03
us PIMCO Income Strategy Fund II PFN US $6.81
-0.29
$671.47M $220.33K $6.80 $6.84 $671.47M 13.09 $0.52
us DoubleLine Yield Opportunities Fund DLY US $13.81
-0.22
$670.33M $193.55K $13.78 $13.93 $670.33M 23.81 $0.58
Noah Noah NOAH US $10.19
-1.64
$668.53M $18.65K $10.19 $10.42 $668.53M 9.01 $1.13
us Invesco Municipal Opportunity Trust VMO US $9.90
+1.64
$667.66M $259.43K $9.75 $9.92 $667.66M 35.35 $0.28
us Abrdn Income Credit Strategies Fund ACP US $5.27
+0.96
$661.23M $468.46K $5.23 $5.31 $661.23M 15.96 $0.33
Nuveen California AMT-Free Quality Municipal Income Fund Nuveen California AMT-Free Quality Municipal Income Fund NKX US $12.37
-0.08
$661.10M $187.64K $12.31 $12.40 $661.10M 28.76 $0.43
us BlackRock Enhanced Global Dividend Trust BOE US $11.88
+0.34
$660.53M $76.11K $11.85 $11.99 $660.53M 6.49 $1.83
BlackRock MuniHoldings New Jersey Quality Fund BlackRock MuniHoldings New Jersey Quality Fund MUJ US $12.33
+0.9
$655.77M $64.22K $12.28 $12.34 $655.77M 26.80 $0.46
be TINC NV TINC.BR BE €11.64 13.44 USD
0
€564.36M 651.46M USD €3.46K 4K USD €11.60 13.39 USD €11.66 13.46 USD €564.36M 651.46M USD 12.25 €0.95 1.1 USD
us BlackRock Core Bond Trust BHK US $8.98
+0.45
$648.57M $270.34K $8.96 $9.00 $648.57M 12.64 $0.71
Canadian Banc Corp. Canadian Banc Corp. BK.TO CA CA$16.01 11.88 USD
+0.82
CA$863.07M 640.45M USD CA$211.74K 157.12K USD CA$15.84 11.75 USD CA$16.20 12.02 USD CA$863.07M 640.45M USD 3.79 CA$4.22 3.13 USD
Vinci Compass Investments Vinci Compass Investments VINP US $9.76
-4.13
$639.44M $161.54K $9.49 $10.31 $639.44M 12.51 $0.78
au Qualitas Real Estate Income Fund QRI.AX AU A$1.53 1.01 USD
-0.33
A$965.62M 639.1M USD A$1.82M 1.21M USD A$1.53 1.01 USD A$1.56 1.03 USD A$965.62M 639.1M USD 12.75 A$0.12 0.08 USD
us John Hancock Premium Dividend Fund PDT US $12.72
0
$625.64M $169.50K $12.68 $12.88 $625.64M 9.15 $1.39
us Western Asset Emerging Markets Debt Fund EMD US $10.64
+0.85
$618.51M $95.31K $10.56 $10.70 $618.51M 6.11 $1.74
se Investment AB Öresund (publ) ORES.ST SE SEK 140.80 13.74 USD
-1.68
SEK 6.28B 612.57M USD SEK 103.93K 10.15K USD SEK 139.20 13.59 USD SEK 143.00 13.96 USD SEK 6.28B 612.57M USD 5.28 SEK 26.64 2.6 USD
BlackRock MuniHoldings Fund BlackRock MuniHoldings Fund MHD US $11.73
+0.69
$611.62M $340.65K $11.66 $11.77 $611.62M 37.83 $0.31
us BlackRock Debt Strategies Fund DSU US $9.70
+0.83
$610.43M $304.38K $9.65 $9.71 $610.43M 14.05 $0.69
Cohen & Steers Limited Duration Preferred and Income Fund, Inc. Cohen & Steers Limited Duration Preferred and Income Fund, Inc. LDP US $20.85
+0.14
$606.30M $37.26K $20.86 $20.98 $606.30M 9.43 $2.21
Bangkok Commercial Asset Management Public Company Limited Bangkok Commercial Asset Management Public Company Limited BAM.BK TH THB 6.60 0.19 USD
-0.75
THB 21.33B 600.21M USD THB 5.12M 144.19K USD THB 6.60 0.19 USD THB 6.70 0.19 USD THB 21.33B 600.21M USD 11.78 THB 0.56 0.02 USD
us Abrdn Asia-Pacific Income Fund FAX US $14.47
-0.07
$597.36M $240.55K $14.30 $14.57 $597.36M 16.44 $0.88
cn Zhuhai Huajin Capital Co., Ltd. 000532.SZ CN CN¥11.71 1.73 USD
-0.34
CN¥4.04B 595.58M USD CN¥12.49M 1.84M USD CN¥11.73 1.73 USD CN¥12.53 1.85 USD CN¥4.04B 595.58M USD 33.45 CN¥0.35 0.05 USD
us Invesco Value Municipal Income Trust IIM US $12.62
+0.96
$594.42M $81.66K $12.49 $12.64 $594.42M 31.55 $0.40
us Nuveen Municipal Credit Opportunities Fund NMCO US $10.73
+0.37
$594.33M $93.15K $10.71 $10.76 $594.33M 536.50 $0.02
us Gladstone Inv GAIN US $14.78
-0.54
$588.57M $528.45K $14.67 $14.99 $588.57M 3.09 $4.78
us The Taiwan Fund TWN US $100.83
+3.35
$578.97M $60.85K $99.47 $102.50 $578.97M 2.59 $38.86
au Qualitas Limited QAL.AX AU A$2.88 1.91 USD
-1.03
A$868.10M 574.56M USD A$238.54K 157.88K USD A$2.80 1.85 USD A$2.92 1.93 USD A$868.10M 574.56M USD 22.15 A$0.13 0.09 USD
Calamos Global Dynamic Income Fund Calamos Global Dynamic Income Fund CHW US $8.99
+2.39
$574.14M $250.36K $8.82 $8.99 $574.14M 6.15 $1.46
Advent Convertible and Income Fund Advent Convertible and Income Fund AVK US $12.92
+1.25
$570.40M $189.47K $12.90 $13.11 $570.40M 4.80 $2.69
Western Asset Managed Municipals Fund Western Asset Managed Municipals Fund MMU US $10.38
+0.48
$566.94M $121.03K $10.32 $10.39 $566.94M 259.50 $0.04
br Kinea High Yield Cri Fundo Investimento Imobiliario FII KNHY11.SA BR R$99.21 20.11 USD
+0.05
R$2.79B 566.44M USD R$42.56K 8.63K USD R$99.04 20.07 USD R$99.45 20.16 USD R$2.79B 566.44M USD 6.94 R$14.28 2.89 USD
us The Gabelli Utility Trust GUT US $6.31
+0.48
$565.37M $192.28K $6.30 $6.34 $565.37M 11.68 $0.54
Invesco Trust for Investment Grade Municipals Invesco Trust for Investment Grade Municipals VGM US $10.42
+1.46
$565.10M $172.63K $10.32 $10.41 $565.10M 33.61 $0.31
se Flat Capital AB (publ) FLAT-B.ST SE SEK 11.54 1.13 USD
+0.96
SEK 5.75B 560.79M USD SEK 577.95K 56.42K USD SEK 11.19 1.09 USD SEK 11.81 1.15 USD SEK 5.75B 560.79M USD 0 -SEK 19.14 -1.8 USD
us Eaton Vance Risk-Managed Diversified Equity Income Fund ETJ US $8.27
+0.36
$556.59M $142.91K $8.25 $8.39 $556.59M 11.17 $0.74
Invesco Municipal Trust Invesco Municipal Trust VKQ US $9.97
+1.42
$551.70M $327.09K $9.86 $9.97 $551.70M 33.23 $0.30
ca The Westaim Corporation WED.V CA CA$22.31 16.56 USD
-0.84
CA$740.41M 549.43M USD CA$100.00 74.21 USD CA$22.31 16.56 USD CA$22.31 16.56 USD CA$740.41M 549.43M USD 0 -CA$2.69 -1.9 USD
us Abrdn Life Sciences Investors HQL US $17.96
+0.56
$546.13M $119.20K $17.86 $18.14 $546.13M 2.70 $6.64
us Neuberger Berman Income Funds - Neuberger Energy Infrastructure and Income Fund NML US $9.59
-1.34
$543.36M $158.13K $9.49 $9.87 $543.36M 106.55 $0.09
BlackRock MuniAssets Fund BlackRock MuniAssets Fund MUA US $10.68
+0.38
$537.79M $155.71K $10.64 $10.73 $537.79M 34.45 $0.31
se Svolder AB (publ) SVOL-B.ST SE SEK 53.80 5.25 USD
-1.47
SEK 5.51B 537.76M USD SEK 133.91K 13.07K USD SEK 53.50 5.22 USD SEK 54.65 5.33 USD SEK 5.51B 537.76M USD 0 -SEK 0.72 -0.07 USD
us Invesco Quality Municipal Income Trust IQI US $10.07
+0.9
$532.54M $207.01K $9.98 $10.20 $532.54M 29.61 $0.34
Invesco California Value Municipal Income Trust Invesco California Value Municipal Income Trust VCV US $10.66
+0.57
$523.56M $41.67K $10.61 $10.68 $523.56M 41.00 $0.26
hk Shandong Hi-Speed Holdings Group Limited 0412.HK HK HK$0.68 0.09 USD
-6.85
HK$4.09B 523.05M USD HK$12.73M 1.63M USD HK$0.66 0.08 USD HK$0.75 0.1 USD HK$4.09B 523.05M USD 0 -HK$0.10 -0.01 USD
BlackRock Enhanced International Dividend Trust BlackRock Enhanced International Dividend Trust BGY US $5.77
+1.05
$522.85M $279.45K $5.72 $5.78 $522.85M 6.41 $0.90
au WAM Global Limited WGB.AX AU A$2.18 1.44 USD
+1.4
A$783.93M 518.85M USD A$245.42K 162.43K USD A$2.16 1.43 USD A$2.18 1.44 USD A$783.93M 518.85M USD 43.60 A$0.05 0.03 USD
us Western Asset Inflation-Linked Opportunities & Income Fund WIW US $8.43
0
$515.78M $261.01K $8.41 $8.46 $515.78M 11.87 $0.71
Duff & Phelps Utility and Infrastructure Fund Duff & Phelps Utility and Infrastructure Fund DPG US $14.10
-0.63
$514.49M $66.82K $14.06 $14.20 $514.49M 6.13 $2.30
BlackRock Health Sciences Trust BlackRock Health Sciences Trust BME US $39.80
-0.28
$514.38M $51.29K $39.63 $40.16 $514.38M 6.72 $5.92
Abrdn World Healthcare Fund Abrdn World Healthcare Fund THW US $12.69
+2.42
$512.22M $76.60K $12.48 $12.70 $512.22M 5.95 $2.13
ca North American Financial 15 Split Corp. FFN.TO CA CA$10.98 8.14 USD
+0.69
CA$685.70M 508.83M USD CA$129.02K 95.74K USD CA$10.94 8.12 USD CA$11.00 8.16 USD CA$685.70M 508.83M USD 3.79 CA$2.89 2.14 USD
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