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Trang kết quả 17 cho Quốc gia: Hoa Kỳ Sàn giao dịch: NYSE 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
Hoa Kỳ (3266)
Tất cả các ngành
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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Deluxe  DLX $14.71
-0.27
$657.79M $184.87K $14.59 $14.92 $657.79M 11.76 $1.25
SITE Centers  SITC $12.5
+1.01
$657.06M $775.5K $12.33 $12.61 $657.06M 1.20 $10.4
Beazer Homes USA  BZH $21.65
+0.93
$656.07M $163.25K $21.31 $21.78 $656.07M 7.00 $3.09
Douglas Dynamics  PLOW $28.22
-0.98
$654.97M $159K $27.99 $28.65 $654.97M 10.33 $2.73
Abrdn Asia-Pacific Income Fund  FAX $15.79
0
$651.85M $139.08K $15.76 $15.96 $651.85M 5.84 $2.7
Shutterstock  SSTK $18.37
-3.82
$647.61M $147.49K $18.32 $19.21 $647.61M 16.85 $1.09
John Hancock Financial Opportunities Fund  BTO $32.71
-0.12
$646.54M $45.78K $32.5 $33.37 $646.54M 4.58 $7.14
ATRenew  RERE $2.91
+4.68
$646.16M $2.61M $2.76 $3.08 $646.16M 32.33 $0.09
The India Fund  IFN $16.03
+0.12
$639.56M $57.38K $15.97 $16.05 $639.56M 5.05 $3.17
John Hancock Premium Dividend Fund  PDT $12.98
+0.43
$638.18M $58.03K $12.92 $13.08 $638.18M 3.24 $4
TPG RE Finance Trust  TRTX $7.96
+0.44
$635.27M $421.42K $7.93 $8.02 $635.27M 11.36 $0.7
Whitestone REIT  WSR $12.3
-0.81
$634.01M $220.39K $12.27 $12.54 $634.01M 20.16 $0.61
AdvanSix  ASIX $23.61
-0.53
$632.91M $105.4K $23.43 $23.81 $632.91M 7.54 $3.13
KKR Real Estate Finance Trust  KREF $9.33
+0.81
$632.29M $325.72K $9.2 $9.34 $632.29M 54.85 $0.17
Virtus Equity & Convertible Income Fund  NIE $22.81
-0.35
$632.04M $37.63K $22.77 $23.02 $632.04M 4.85 $4.7
Costamare Inc.  CMRE-PC $26.03
+0.38
$630.98M $1.79K $26.03 $26.19 $630.98M 7.00 $3.72
BlackRock Enhanced Global Dividend Trust  BOE $11.03
-0.32
$628.71M $137.63K $11 $11.08 $628.71M 10.80 $1.02
Nexa Resources  NEXA $4.74
-2.47
$627.76M $37.61K $4.64 $4.9 $627.76M 0 -$1.28
Koppers  KOP $31.32
+0.53
$626.62M $59.59K $30.79 $31.36 $626.62M 26.31 $1.19
Guess?  GES $12.04
+5.57
$626.02M $591.14K $11.4 $12.04 $626.02M 0 -$0.11
Federal Agricultural Mortgage Corporation  AGM-PD $21.31
+0.19
$624.44M $3.49K $21.25 $21.35 $624.44M 1.91 $11.11
Ryerson Holding  RYI $19.39
-5.69
$624.28M $145.93K $19.37 $20.69 $624.28M 0 -$0.22
Customers Bancorp, Inc.  CUBI-PF $25.47
+0.48
$621.99M $3.94K $25.35 $25.48 $621.99M 2.54 $10.03
NGL Energy Partners LP  NGL $4.71
+3.98
$621.78M $849.9K $4.4 $4.86 $621.78M 0 -$0.43
ASA Gold and Precious Metals  ASA $32.69
-0.94
$618.2M $22.33K $32.6 $33.26 $618.2M 5.44 $6
Riley Exploration Permian  REPX $28.04
+1.06
$617.41M $56.45K $27.75 $28.1 $617.41M 5.99 $4.68
Oxford Industries  OXM $41.3
+1.4
$616.83M $234.65K $41 $42.16 $616.83M 8.01 $5.15
Braskem  BAK $3.56
-1.66
$614.21M $557.25K $3.54 $3.62 $614.21M 0 -$4.24
Sturm, Ruger & Company  RGR $37.03
-1.87
$612.95M $171.9K $36.21 $37.3 $612.95M 20.23 $1.83
Weave Communications  WEAV $8.14
-2.05
$611.98M $442.59K $8.14 $8.54 $611.98M 0 -$0.42
LSB Industries  LXU $8.5
-1.85
$610.96M $340.69K $8.49 $8.72 $610.96M 0 -$0.37
Invesco Municipal Opportunity Trust  VMO $9.06
+0.61
$610.68M $353.82K $9 $9.08 $610.68M 25.15 $0.36
Covenant Logistics  CVLG $22.94
+0.42
$609.06M $113.03K $22.8 $23.27 $609.06M 16.61 $1.38
Customers Bancorp, Inc.  CUBI-PE $25
+0.04
$606.68M $12.58K $24.98 $25 $606.68M 2.49 $10.03
Similarweb  SMWB $7.21
-0.55
$602.31M $194.99K $7.2 $7.42 $602.31M 0 -$0.22
BlackRock Multi-Sector Income Trust  BIT $14.39
+0.14
$602.06M $75.44K $14.39 $14.42 $602.06M 11.79 $1.22
Cohen & Steers Limited Duration Preferred and Income Fund, Inc.  LDP $20.63
+0.15
$599.9M $37.62K $20.6 $20.65 $599.9M 7.04 $2.93
Nextdoor  KIND $1.57
-2.8
$598.75M $885.63K $1.56 $1.64 $598.75M 0 -$0.24
Nuveen Dynamic Municipal Opportunities Fund  NDMO $10
+0.1
$595.62M $96.51K $9.96 $10.03 $595.62M 4.92 $2.03
CTO Realty Growth  CTO $18.03
-0.25
$593.65M $143.38K $17.96 $18.28 $593.65M 0 -$0.55
Titan  TWI $9.31
+2.76
$593.09M $541.68K $9.13 $9.52 $593.09M 0 -$0.23
Nordic American Tankers  NAT $2.78
-2.63
$587.61M $1.5M $2.75 $2.84 $587.61M 16.32 $0.17
Core Laboratories  CLB $12.51
-0.56
$586.51M $327.19K $12.5 $12.78 $586.51M 21.20 $0.59
Eaton Vance Risk-Managed Diversified Equity Income Fund  ETJ $8.67
-0.46
$583.51M $118.46K $8.67 $8.74 $583.51M 4.33 $2
BlackRock MuniHoldings Fund  MHD $11.11
+0.04
$579.53M $105.95K $11.08 $11.14 $579.53M 50.52 $0.22
Adams Natural Resources Fund  PEO $22.03
+0.78
$579.05M $23.61K $21.87 $22.12 $579.05M 17.34 $1.27
Universal Health Realty Income Trust  UHT $41.79
+1.41
$578.85M $92.52K $41.16 $41.95 $578.85M 30.95 $1.35
Western Asset Emerging Markets Debt Fund  EMD $9.9
+1.12
$575.49M $158.27K $9.8 $9.92 $575.49M 9.33 $1.06
BlackRock MuniHoldings New Jersey Quality Fund  MUJ $10.81
+0.28
$574.93M $82.77K $10.76 $10.81 $574.93M 51.47 $0.21
Orion  OEC $10.17
+0.35
$571.98M $327.24K $10.01 $10.22 $571.98M 22.09 $0.46
Genco Shipping & Trading  GNK $13.3
-1.95
$571.15M $472.83K $13.18 $13.67 $571.15M 12.78 $1.04
USANA Health Sciences  USNA $30.64
+0.66
$570.61M $117.56K $30.23 $30.76 $570.61M 16.83 $1.82
Nuveen Municipal Credit Opportunities Fund  NMCO $10.4
+0.19
$569.94M $84.91K $10.38 $10.49 $569.94M 4.46 $2.33
Hovnanian Enterprises  HOV $95.85
+4.77
$566.08M $263.39K $90.89 $96.12 $566.08M 3.39 $28.24
Clear Channel Outdoor  CCO $1.14
+3.18
$563.77M $1.78M $1.11 $1.17 $563.77M 0 -$0.23
BlueLinx  BXC $70.23
+6.06
$563.42M $198.35K $67.53 $75.11 $563.42M 15.53 $4.52
Avanos Medical  AVNS $12.1
+0.17
$559.55M $203.36K $12 $12.27 $559.55M 0 -$8.27
Owens & Minor  OMI $7.3
-2.14
$559.28M $753.86K $7.28 $7.52 $559.28M 0 -$4.76
Permian Basin Royalty Trust  PBT $11.99
-0.66
$558.84M $55.76K $11.92 $12.19 $558.84M 24.46 $0.49
BlackRock Utilities, Infrastructure & Power Opportunities Trust  BUI $24.61
+0.31
$558.71M $54.31K $24.46 $24.88 $558.71M 15.47 $1.59
Lithium Americas  LAC $2.54
-4.34
$554.92M $3.49M $2.53 $2.67 $554.92M 0 -$0.22
Invesco Senior Income Trust  VVR $3.6
-2.18
$552.89M $812.21K $3.58 $3.69 $552.89M 13.33 $0.27
MarineMax  HZO $25.67
+0.99
$551.22M $186.21K $24.91 $25.67 $551.22M 10.47 $2.45
Summit Hotel Properties  INN $4.9
+1.14
$549.32M $1.3M $4.83 $4.97 $549.32M 24.47 $0.2
Nuveen California AMT-Free Quality Municipal Income Fund  NKX $11.48
-0.17
$548.4M $78.22K $11.45 $11.53 $548.4M 13.50 $0.85
Invesco Value Municipal Income Trust  IIM $11.57
+0.26
$544.58M $123.68K $11.53 $11.61 $544.58M 25.71 $0.45
PGIM Global High Yield Fund  GHY $13.25
-0.02
$542.11M $71.67K $13.21 $13.3 $542.11M 8.02 $1.65
BlackRock Debt Strategies Fund  DSU $10.46
+0.96
$541.88M $160.85K $10.4 $10.47 $541.88M 11.36 $0.92
One Liberty Properties  OLP $25.08
+0.36
$541.59M $41.94K $24.8 $25.23 $541.59M 18.57 $1.35
Western Asset Managed Municipals Fund  MMU $9.88
-0.4
$539.63M $113.29K $9.81 $9.94 $539.63M 11.35 $0.87
SmartFinancial  SMBK $31.69
+0.7
$539.28M $55.6K $31.31 $31.69 $539.28M 14.02 $2.26
The Marcus  MCS $17.18
+0.05
$537.67M $81.09K $17.11 $17.33 $537.67M 0 -$0.41
Blackstone Strategic Credit 2027 Term Fund  BGB $11.99
+0.17
$535.56M $72.01K $11.98 $12.02 $535.56M 9.59 $1.25
Torrid  CURV $5.09
-0.59
$534.56M $66.73K $5.04 $5.15 $534.56M 56.55 $0.09
Myers Industries  MYE $14.29
-1.65
$534.19M $95.21K $14.19 $14.66 $534.19M 51.03 $0.28
Farmland Partners  FPI $11.3
-0.57
$533.05M $365.48K $11.28 $11.5 $533.05M 10.45 $1.08
Western Asset Inflation-Linked Opportunities & Income Fund  WIW $8.7
+0.06
$532M $91.28K $8.67 $8.71 $532M 14.99 $0.58
First Trust High Yield Opportunities 2027 Term Fund  FTHY $14.45
+0.35
$531.37M $57.66K $14.39 $14.48 $531.37M 10.39 $1.39
BlackRock Core Bond Trust  BHK $9.59
-0.42
$530.24M $288.15K $9.55 $9.64 $530.24M 53.27 $0.18
BlackRock Limited Duration Income Trust  BLW $13.98
+0.36
$529.14M $60.78K $13.93 $14 $529.14M 11.09 $1.26
Nabors Industries  NBR $33.46
-0.92
$525.31M $220.33K $32.46 $34.31 $525.31M 0 -$15.65
Green Dot  GDOT $9.55
+0.62
$524.15M $389.25K $9.45 $9.65 $524.15M 0 -$0.12
BlackRock Enhanced International Dividend Trust  BGY $5.61
-0.97
$520.92M $230.72K $5.6 $5.69 $520.92M 50.95 $0.11
GAMCO Global Gold, Natural Resources & Income Trust  GGN-PB $20.33
+0.35
$519.66M $2.14K $20.21 $20.33 $519.66M 80.99 $0.25
Americas Gold and Silver  USAS $0.79
-5.69
$515.56M $1.83M $0.77 $0.8299 $515.56M 0 -$0.13
North American Construction  NOA $17.49
-0.68
$514.75M $39.57K $17.46 $17.6 $514.75M 17.66 $0.99
Butterfly Network  BFLY $2.08
-3.7
$514.36M $2.72M $2.07 $2.19 $514.36M 0 -$0.3
PlayAGS  AGS $12.39
0
$514.25M $264.57K $12.39 $12.41 $514.25M 10.68 $1.16
Eaton Vance Municipal Bond Fund  EIM $9.51
+0.06
$514.03M $267.36K $9.49 $9.54 $514.03M 0 -$0.07
Crawford & Company  CRD-A $10.42
+2.67
$513.15M $57.28K $9.98 $10.42 $513.15M 17.36 $0.6
Advent Convertible and Income Fund  AVK $11.62
-0.26
$513.01M $107.11K $11.59 $11.71 $513.01M 4.27 $2.72
Yiren Digital  YRD $5.92
-2.78
$511.53M $55.35K $5.9 $6.1 $511.53M 2.75 $2.15
KKR Income Opportunities Fund  KIO $12.29
+0.17
$511.11M $192.2K $12.29 $12.31 $511.11M 5.03 $2.44
Invesco Trust for Investment Grade Municipals  VGM $9.42
-0.16
$510.59M $166.51K $9.4 $9.44 $510.59M 24.77 $0.38
Borr Drilling  BORR $2.12
-5.58
$506.14M $5.33M $2.1 $2.27 $506.14M 11.13 $0.19
Invesco Mortgage Capital  IVR $7.66
+0.46
$504.79M $909.35K $7.62 $7.71 $504.79M 18.22 $0.42
Miller Industries  MLR $43.99
-0.32
$504.09M $38.89K $43.75 $44.46 $504.09M 9.37 $4.69
Ginkgo Bioworks  DNA $8.61
+0.35
$503.96M $534.54K $8.21 $8.73 $503.96M 0 -$8.91
Avino Silver & Gold Mines  ASM $3.46
-1.85
$503.14M $3.26M $3.4 $3.54 $503.14M 34.64 $0.1
Invesco Municipal Trust  VKQ $9.08
+0.17
$502.17M $136.09K $9.06 $9.1 $502.17M 25.20 $0.36
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