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Trang kết quả 4 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 (1966)
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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Eaton Vance Municipal Bond Fund  EIM $9.59
-0.11
$518.59M $35.36K $9.58 $9.63 $518.59M 0 -$0.07
Columbia Seligman Premium Technology Growth Fund  STK $31.04
+0.61
$514.1M $17.12K $30.87 $31.1 $514.1M 3.92 $7.91
KKR Income Opportunities Fund  KIO $12.55
+0.24
$512.93M $166.98K $12.52 $12.63 $512.93M 30.60 $0.41
Invesco Municipal Trust  VKQ $9.16
-0.11
$506.87M $67.3K $9.14 $9.2 $506.87M 25.44 $0.36
CION Inv  CION $9.63
-0.88
$506.2M $156.4K $9.61 $9.81 $506.2M 0 -$0.29
Neuberger Berman Energy Infrastructure and Income Fund  NML $8.84
+0.11
$500.86M $104.81K $8.81 $8.89 $500.86M 2.93 $3.01
Invesco California Value Municipal Income Trust  VCV $10.42
-0.33
$499.4M $12.45K $10.39 $10.46 $499.4M 28.93 $0.36
Invesco Quality Municipal Income Trust  IQI $9.41
-0.21
$497.64M $88.02K $9.4 $9.46 $497.64M 24.76 $0.38
PIMCO Municipal Income Fund II  PML $7.44
-0.07
$494.24M $62.57K $7.42 $7.44 $494.24M 0 -$0.05
Hearts and Minds Investments Limited  HM1.AX $3.22 2.13 USD
+0.31
$737.32M 488M USD $56.36K 37.3K USD $3.2 2.12 USD $3.22 2.13 USD $737.32M 488M USD 5.75 $0.56 0.37 USD
Mirrabooka Investments Limited  MIR.AX $3.31 2.19 USD
-0.3
$736.57M 487.5M USD $81.67K 54.05K USD $3.31 2.19 USD $3.33 2.2 USD $736.57M 487.5M USD 66.20 $0.05 0.03 USD
Royce Micro-Cap Trust  RMT $9.59
+0.27
$485.83M $73.36K $9.57 $9.63 $485.83M 7.37 $1.3
BlackRock Municipal Income Trust II  BLE $9.96
0
$475.36M $20.96K $9.95 $9.99 $475.36M 41.50 $0.24
PGIM High Yield Bond Fund  ISD $14.28
+0.49
$474.99M $32.81K $14.24 $14.3 $474.99M 9.64 $1.48
BlackRock Health Sciences Trust  BME $36.48
+0.26
$471.41M $15.04K $36.36 $36.6 $471.41M 22.37 $1.63
VGI Partners Global Investments Limited  VG1.AX $1.75 1.16 USD
-0.28
$712.11M 471.32M USD $78.3K 51.82K USD $1.74 1.15 USD $1.77 1.17 USD $712.11M 471.32M USD 0 -$0.04 -0.02 USD
Nuveen New Jersey Quality Municipal Income Fund  NXJ $11.42
-0.09
$470.88M $76.48K $11.4 $11.44 $470.88M 12.54 $0.91
BlackRock Floating Rate Income Strategies Fund  FRA $13.26
-0.15
$468.14M $102.85K $13.23 $13.32 $468.14M 11.83 $1.12
Nuveen Taxable Municipal Income Fund  NBB $15.8
+0.38
$464.44M $11.8K $15.7 $15.8 $464.44M 20.25 $0.78
John Hancock Preferred Income Fund III  HPS $14.41
+0.26
$461.83M $31.35K $14.36 $14.43 $461.83M 8.47 $1.7
Tortoise Energy Infrastructure  TYG $42.84
-1.38
$461.17M $58.89K $42.71 $43.6 $461.17M 2.18 $19.59
VALUE PARTNERS  0806.HK $1.97 0.25 USD
-0.51
$3.6B 460.13M USD $2.36M 301.24K USD $1.94 0.25 USD $1.99 0.25 USD $3.6B 460.13M USD 98.50 $0.02 0.002 USD
Ophir Asset Management Pty Ltd - Ophir High Conviction Fund  OPH.AX $3.12 2.06 USD
-0.95
$694.51M 459.66M USD $209.61K 138.73K USD $3.1 2.05 USD $3.17 2.1 USD $694.51M 459.66M USD 5.47 $0.57 0.38 USD
BlackRock MuniYield Fund  MYD $10.02
-0.17
$458.41M $90.44K $10.02 $10.06 $458.41M 58.96 $0.17
Calamos Global Dynamic Income Fund  CHW $7.15
+0.28
$456.63M $114.76K $7.08 $7.17 $456.63M 12.11 $0.59
Voya Global Equity Dividend and Premium Opportunity Fund  IGD $5.77
+0.17
$455.06M $146.17K $5.76 $5.79 $455.06M 6.78 $0.85
PennantPark Inv  PNNT $6.96
-0.58
$454.4M $226.93K $6.93 $7.01 $454.4M 9.53 $0.73
Duff & Phelps Utility and Infrastructure Fund  DPG $12.34
+0.98
$453.13M $55.91K $12.22 $12.36 $453.13M 3.47 $3.55
Eaton Vance Tax-Advantaged Global Dividend Opportunities Fund  ETO $27.56
+0.78
$451.73M $30.85K $27.51 $27.89 $451.73M 13.71 $2.01
Australian Ethical Investment Limited  AEF.AX $6.01 3.98 USD
+1.35
$681.65M 451.16M USD $106.1K 70.22K USD $5.82 3.85 USD $6.06 4.01 USD $681.65M 451.16M USD 46.23 $0.13 0.09 USD
Metrics Income Opportunities Trust  MOT.AX $2.03 1.34 USD
-0.49
$675.91M 447.36M USD $532.86K 352.67K USD $2.03 1.34 USD $2.05 1.36 USD $675.91M 447.36M USD 11.27 $0.18 0.12 USD
Third Point Investors Limited  TPOU.L $25.4
+1.98
$441.77M $237 $0 $0 $441.77M 4.14 $6.13
Barings Corporate Investors  MCI $21.51
+0.65
$436.62M $1.99K $21.37 $21.91 $436.62M 12.29 $1.75
Fonterra Shareholders Fund  FSF.NZ $6.58 4.06 USD
-0.6
$706.76M 436.14M USD $46.02K 28.4K USD $6.55 4.04 USD $6.62 4.09 USD $706.76M 436.14M USD 0 $0 0 USD
John Hancock Preferred Income Fund  HPI $16.23
+0.12
$433.92M $16.29K $16.23 $16.26 $433.92M 8.40 $1.93
Financial 15 Split Corp.  FTN.TO $9.7 7.2 USD
+0.41
$580.68M 430.9M USD $48.05K 35.66K USD $9.67 7.18 USD $9.73 7.22 USD $580.68M 430.9M USD 1.65 $5.85 4.34 USD
Flaherty & Crumrine Dynamic Preferred and Income Fund  DFP $20.96
+0.63
$430.51M $31.62K $20.83 $20.98 $430.51M 5.27 $3.97
Eaton Vance Tax-Managed Buy-Write Income Fund  ETB $14.47
+0.14
$425.05M $60.18K $14.45 $14.51 $425.05M 5.54 $2.61
Leonteq AG  LEON.SW $21 23.89 USD
+8.47
$371.8M 423.03M USD $102.57K 116.7K USD $19.6 22.3 USD $21.1 24.01 USD $371.8M 423.03M USD 65.62 $0.32 0.36 USD
Diamond Hill Inv  DHIL $154.6
-0.67
$421.7M $3.47K $154.47 $154.72 $421.7M 10.43 $14.82
Wells Fargo Advantage Funds - Allspring Income Opportunities Fund  EAD $7.12
+0.21
$420.44M $102.94K $7.09 $7.14 $420.44M 11.85 $0.6
BlackRock Municipal Income Trust  BFK $9.57
-0.1
$419.69M $38.06K $9.55 $9.59 $419.69M 47.85 $0.2
Nuveen Pennsylvania Quality Municipal Income Fund  NQP $11.15
+0.44
$414.94M $35.13K $11.1 $11.16 $414.94M 12.66 $0.88
Eaton Vance Municipal Income Trust  EVN $10.46
+0.14
$414.72M $27.53K $10.42 $10.46 $414.72M 11.24 $0.93
Stellus Capital Inv  SCM $14.56
+0.21
$413.74M $39.64K $14.49 $14.61 $413.74M 10.18 $1.43
Abrdn World Healthcare Fund  THW $10.38
+0.02
$413.54M $52.37K $10.35 $10.43 $413.54M 207.64 $0.05
First Trust Enhanced Equity Income Fund  FFA $20.62
+0.07
$412.05M $5.11K $20.57 $20.76 $412.05M 5.43 $3.79
ABC arbitrage SA  ABCA.PA $6.33 6.92 USD
+0.8
$375.01M 409.93M USD $76.87K 84.03K USD $6.26 6.84 USD $6.39 6.99 USD $375.01M 409.93M USD 14.06 $0.45 0.49 USD
BlackRock MuniAssets Fund  MUA $10.54
+0.76
$405.56M $21.69K $10.51 $10.54 $405.56M 11.71 $0.9
Guggenheim Taxable Municipal Bond & Investment Grade Debt Trust  GBAB $15.1
+1.1
$403.43M $78.98K $14.95 $15.12 $403.43M 7.70 $1.96
Future Generation Global Limited  FGG.AX $1.48 0.98 USD
-1.34
$590.36M 390.73M USD $1.02M 672.68K USD $1.44 0.95 USD $1.5 0.99 USD $590.36M 390.73M USD 6.14 $0.24 0.16 USD
Western Asset High Income Fund II  HIX $4.31
+0.21
$387.96M $97.43K $4.3 $4.32 $387.96M 5.01 $0.86
Abrdn Life Sciences Investors  HQL $13.21
+1.62
$381.4M $60.13K $13.06 $13.24 $381.4M 0 -$0.48
Western Asset High Income Opportunity Fund  HIO $4.01
+0.13
$380.87M $93.68K $4 $4.02 $380.87M 15.40 $0.26
Kitahama Capital Partners Co.,Ltd.  2134.T $104 0.7 USD
+2.97
$56.32B 380.19M USD $104.69M 706.68K USD $97 0.65 USD $111 0.75 USD $56.32B 380.19M USD 0 -$2.99 -0.02 USD
BlackRock MuniVest Fund  MVF $6.59
+0.1
$377.65M $35.52K $6.57 $6.6 $377.65M 38.74 $0.17
Ayyan Investment Company  2140.SR $13.71 3.66 USD
-2.21
$1.42B 377.52M USD $451.85K 120.54K USD $13.7 3.65 USD $14.22 3.79 USD $1.42B 377.52M USD 0 -$0.08 -0.02 USD
Saratoga Inv  SAR $24.49
-2.2
$376.29M $140.6K $24.29 $25 $376.29M 12.12 $2.02
PIMCO Income Strategy Fund  PFL $8.38
+0.31
$375.68M $71.85K $8.36 $8.38 $375.68M 8.46 $0.99
FRMO  FRMO $8.5
-1.05
$374.19M $5.63K $8.37 $8.59 $374.19M 60.71 $0.14
Invesco Advantage Municipal Income Trust II  VKI $8.39
0
$372.57M $36.37K $8.35 $8.4 $372.57M 25.42 $0.33
CapMan Oyj  CAPMAN.HE $1.92 2.1 USD
+0.31
$340.26M 371.95M USD $67.33K 73.6K USD $1.91 2.09 USD $1.93 2.11 USD $340.26M 371.95M USD 48.10 $0.04 0.04 USD
Nuveen Real Asset Income and Growth Fund  JRI $13.5
+0.15
$370.13M $52.51K $13.42 $13.58 $370.13M 14.51 $0.93
BNY Mellon Strategic Municipals  LEO $5.93
-0.53
$369.28M $32.66K $5.91 $5.97 $369.28M 148.20 $0.04
BlackRock MuniYield New York Quality Fund  MYN $9.51
+0.19
$364.28M $62.56K $9.47 $9.53 $364.28M 316.93 $0.03
Source Capital  SOR $44.21
+0.79
$362.48M $2.74K $43.89 $44.81 $362.48M 9.24 $4.78
Eaton Vance Senior Floating-Rate Trust  EFR $12.14
+0.42
$358.46M $9.62K $12.11 $12.18 $358.46M 20.93 $0.58
BlackRock Energy and Resources Trust  BGR $13.59
+0.52
$354.82M $66.83K $13.48 $13.64 $354.82M 28.31 $0.48
Nuveen New York Quality Municipal Income Fund  NAN $11.43
+0.09
$352.46M $28K $11.41 $11.44 $352.46M 13.44 $0.85
Cohen & Steers Closed-End Opportunity Fund  FOF $12.68
-0.08
$350.68M $41.55K $12.67 $12.73 $350.68M 5.78 $2.19
Putnam Premier Income Trust  PPT $3.67
+0.41
$350.25M $53.62K $3.66 $3.68 $350.25M 16.65 $0.22
John Hancock Preferred Income Fund II  HPF $16.13
+0.34
$348.15M $24.15K $16.07 $16.14 $348.15M 8.44 $1.91
Hsi Malls Fundo De Investimento Imobiliario  HSML11.SA $83.97 17.02 USD
-0.39
$1.71B 347.5M USD $7.63K 1.55K USD $83.83 16.99 USD $84.42 17.11 USD $1.71B 347.5M USD 3.68 $22.78 4.62 USD
DWS Municipal Income Trust  KTF $8.83
+0.11
$345.89M $15.59K $8.82 $8.84 $345.89M 9.92 $0.89
Saba Capital Income & Opportunities Fund  BRW $8.09
-0.06
$344.06M $93.72K $8.06 $8.11 $344.06M 6.68 $1.21
Blackstone Loan Financing Limited  BGLF.L $0.89 0.97 USD
+19.65
$313.63M 342.84M USD $1.09M 1.19M USD $0.7399 0.81 USD $0.76 0.83 USD $313.63M 342.84M USD 3.86 $0.23 0.25 USD
Ares Dynamic Credit Allocation Fund  ARDC $14.32
+0.28
$341.86M $58.87K $14.32 $14.37 $341.86M 8.62 $1.66
Liberty All-Star Growth Fund  ASG $5.51
+0.33
$341.29M $41.27K $5.48 $5.52 $341.29M 6.71 $0.82
Future Generation Australia Limited  FGX.AX $1.24 0.82 USD
+1.23
$506.4M 335.16M USD $195.85K 129.62K USD $1.22 0.81 USD $1.24 0.82 USD $506.4M 335.16M USD 10.29 $0.12 0.08 USD
abrdn Global Premier Properties Fund  AWP $3.86
-0.52
$333.62M $163.04K $3.84 $3.9 $333.62M 3.47 $1.11
Morgan Stanley Emerging Markets Domestic Debt Fund  EDD $5.15
+0.18
$331.88M $193.09K $5.14 $5.22 $331.88M 8.58 $0.6
Eaton Vance Floating-Rate Income Trust  EFT $12.53
-0.27
$331.27M $22.04K $12.52 $12.6 $331.27M 8.69 $1.44
PIMCO Strategic Income Fund  RCS $7.05
+0.43
$328.91M $64.6K $7.02 $7.06 $328.91M 10.84 $0.65
BlackRock California Municipal Income Trust  BFZ $10.84
+0.18
$325.86M $16.74K $10.82 $10.85 $325.86M 83.37 $0.13
BlackRock Floating Rate Income Trust  BGT $12.6
+0.52
$321.44M $78.33K $12.56 $12.63 $321.44M 11.34 $1.11
Nuveen S&P 500 Dynamic Overwrite Fund  SPXX $17.89
+0.18
$321.34M $22.35K $17.87 $17.99 $321.34M 5.30 $3.37
Virtus Convertible & Income Fund  NCV $14.22
+0.56
$321.28M $31.29K $14.17 $14.25 $321.28M 1.22 $11.64
Horizon Technology Finance  HRZN $7.94
+1.93
$320.42M $296.37K $7.8 $7.96 $320.42M 0 -$0.95
Cohen & Steers Total Return Realty Fund  RFI $11.96
-0.33
$319.16M $45.13K $11.92 $12 $319.16M 18.98 $0.63
BlackRock MuniYield Michigan Quality Fund  MIY $11
-0.15
$318.73M $43.66K $10.99 $11.06 $318.73M 68.77 $0.16
Barings Global Short Duration High Yield Fund  BGH $15.84
+0.96
$317.82M $69.83K $15.75 $15.84 $317.82M 7.54 $2.1
Crypto Blockchain Industries  ALCBI.PA $0.9399 1.03 USD
+16.34
$288.82M 315.72M USD $1.99M 2.18M USD $0.8 0.87 USD $0.9699 1.06 USD $288.82M 315.72M USD 0 -$0.01 -0.01 USD
Virtus Convertible & Income Fund II  NCZ-PA $20.77
0
$313.13M $117 $20.71 $20.88 $313.13M 15.79 $1.32
Perpetual Equity Investment Company Limited  PIC.AX $1.23 0.81 USD
-0.81
$471.2M 311.87M USD $114.54K 75.81K USD $1.23 0.81 USD $1.25 0.82 USD $471.2M 311.87M USD 12.30 $0.1 0.07 USD
Canadian Banc Corp.  BK.TO $12.19 9.05 USD
+0.16
$418.56M 310.6M USD $31.3K 23.22K USD $12.14 9.01 USD $12.19 9.05 USD $418.56M 310.6M USD 2.32 $5.25 3.9 USD
Nuveen Global High Income Fund  JGH $13.19
+0.8
$305.59M $75.28K $13.14 $13.23 $305.59M 7.71 $1.71
MFS Intermediate Income Trust  MIN $2.68
-0.19
$304.98M $50.41K $2.68 $2.7 $304.98M 12.18 $0.22
CHINA MERCHANTS  0133.HK $15.54 1.99 USD
+0.52
$2.37B 302.68M USD $255.83K 32.71K USD $15.4 1.97 USD $15.6 1.99 USD $2.37B 302.68M USD 2.50 $6.2 0.79 USD
North American Financial 15 Split Corp.  FFN.TO $7.01 5.2 USD
+0.72
$407.36M 302.28M USD $66.81K 49.58K USD $6.98 5.18 USD $7.02 5.21 USD $407.36M 302.28M USD 1.23 $5.68 4.21 USD
Shanghai Guijiu Co.,Ltd  600696.SS $6.42 0.89 USD
-0.16
$2.15B 298.57M USD $3.56M 495.3K USD $6.4 0.89 USD $6.55 0.91 USD $2.15B 298.57M USD 0 -$0.65 -0.09 USD
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