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Trang kết quả 18 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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American Axle & Manufacturing  AXL $4.23
-1.52
$501.35M $2.73M $4.11 $4.32 $501.35M 23.47 $0.18
Graham  GHM $45.53
-1.36
$498.48M $36.45K $45.31 $46.59 $498.48M 41.01 $1.11
Nuveen Dow 30 Dynamic Overwrite Fund  DIAX $13.7
+0.04
$498.04M $72.15K $13.67 $13.8 $498.04M 8.20 $1.67
Neuberger Berman Energy Infrastructure and Income Fund  NML $8.78
-0.57
$497.47M $123.2K $8.77 $9 $497.47M 2.91 $3.01
The Gabelli Utility Trust  GUT $5.62
+0.72
$495.87M $165.61K $5.59 $5.66 $495.87M 11.24 $0.5
Invesco Quality Municipal Income Trust  IQI $9.31
-0.11
$492.35M $98.55K $9.29 $9.33 $492.35M 24.50 $0.38
Intrepid Potash  IPI $36.92
-2.28
$491.61M $88.65K $36.71 $37.73 $491.61M 0 -$15.93
McEwen Mining  MUX $9.07
-4.12
$489.67M $486.82K $9.06 $9.46 $489.67M 0 -$0.57
Cementos Pacasmayo S.A.A  CPAC $5.77
-1.45
$488.72M $985 $5.85 $5.85 $488.72M 9.29 $0.62
Gannett  GCI $3.34
-2.49
$488.36M $1.88M $3.32 $3.5 $488.36M 9.01 $0.37
PIMCO Municipal Income Fund II  PML $7.34
-0.41
$487.93M $248.91K $7.28 $7.37 $487.93M 0 -$0.05
CION Inv  CION $9.28
+0.49
$487.79M $260.81K $9.23 $9.4 $487.79M 0 -$0.29
TETRA  TTI $3.67
-2.01
$487.71M $1.3M $3.62 $3.82 $487.71M 4.16 $0.88
Controladora Vuela Compañía de Aviación, S.A.B. de C.V  VLRS $4.19
-1.41
$487.49M $823.76K $4.18 $4.36 $487.49M 0 -$6.32
Waterdrop  WDH $1.35
+0.37
$486.44M $259.02K $1.34 $1.39 $486.44M 8.96 $0.15
Invesco California Value Municipal Income Trust  VCV $10.15
-0.1
$486.09M $76.35K $10.15 $10.23 $486.09M 28.19 $0.36
Crawford & Company  CRD-B $9.75
-2.89
$485.41M $1.81K $9.75 $9.94 $485.41M 16.25 $0.6
Compass Diversified  CODI $6.45
+1.02
$484.9M $1.29M $6.38 $6.57 $484.9M 0 -$1.25
Columbia Seligman Premium Technology Growth Fund  STK $29.01
-1.67
$480.5M $78.87K $28.92 $29.5 $480.5M 3.66 $7.91
Qudian  QD $2.91
+0.17
$479.69M $164.43K $2.85 $2.92 $479.69M 12.10 $0.24
Community Healthcare Trust Incorporated  CHCT $16.87
+0.48
$478.06M $110.45K $16.64 $16.97 $478.06M 0 -$0.31
Bally's  BALY $9.74
-3.37
$477.39M $48.52K $9.61 $10.38 $477.39M 0 -$10.53
Aspen Aerogels  ASPN $5.8
-2.11
$476.2M $1.15M $5.67 $5.96 $476.2M 0 -$3.48
Ennis  EBF $18.4
-0.54
$474.63M $82.17K $18.25 $18.49 $474.63M 11.94 $1.54
Gray Media  GTN $4.23
+2.42
$473.49M $1.19M $4.15 $4.33 $473.49M 1.80 $2.34
BlackRock Municipal Income Trust II  BLE $9.88
-0.2
$471.54M $57.25K $9.88 $9.91 $471.54M 41.16 $0.24
ZipRecruiter  ZIP $5.04
+0.6
$468.23M $710.98K $5.03 $5.22 $468.23M 0 -$0.19
Eastman Kodak Company  KODK $5.8
-1.11
$468.11M $497.04K $5.76 $5.95 $468.11M 12.07 $0.48
Community Health Systems  CYH $3.33
+0.45
$466.52M $1.76M $3.28 $3.4 $466.52M 0 -$3.68
loanDepot  LDI $1.41
-0.7
$465.17M $381.91K $1.37 $1.44 $465.17M 0 -$0.45
Nuveen New Jersey Quality Municipal Income Fund  NXJ $11.26
-0.4
$464.08M $154.41K $11.24 $11.34 $464.08M 12.36 $0.91
Postal Realty Trust  PSTL $15.14
+0.36
$463.3M $121.22K $14.97 $15.25 $463.3M 54.08 $0.28
UMH Properties, Inc.  UMH-PD $22.09
+0.32
$463.02M $12.85K $22.1 $22.1 $463.02M 113.28 $0.2
Guaranty Bancshares  GNTY $40.77
+0.34
$462.38M $32.79K $40.07 $41.11 $462.38M 14.01 $2.91
BlackRock Health Sciences Trust  BME $35.5
-0.46
$458.74M $32.62K $35.43 $35.86 $458.74M 21.77 $1.63
PGIM High Yield Bond Fund  ISD $13.75
+0.66
$457.36M $150.05K $13.62 $13.77 $457.36M 9.29 $1.48
Tortoise Energy Infrastructure  TYG $42.48
+0.33
$457.29M $74.22K $42.38 $42.97 $457.29M 2.16 $19.59
BlackRock Floating Rate Income Strategies Fund  FRA $12.91
+0.47
$455.78M $66.18K $12.85 $12.93 $455.78M 11.52 $1.12
BlackRock MuniYield Fund  MYD $9.96
+0.42
$455.6M $186.03K $9.91 $9.99 $455.6M 58.60 $0.17
Cango  CANG $4.39
-1.24
$455.34M $221.89K $4.35 $4.5 $455.34M 0 -$0.03
Sonida Senior Living  SNDA $24.13
+0.25
$455.22M $12.72K $23.88 $24.56 $455.22M 0 -$3.63
Nuveen Taxable Municipal Income Fund  NBB $15.37
-0.84
$451.8M $74.26K $15.29 $15.54 $451.8M 19.70 $0.78
John Hancock Preferred Income Fund III  HPS $14.09
+0.14
$451.64M $74.08K $14.03 $14.18 $451.64M 8.28 $1.7
BlackSky Technology  BKSY $14.36
+12.94
$450.11M $3.86M $12.51 $14.73 $450.11M 0 -$2.21
Tejon Ranch  TRC $16.65
+1.06
$447.44M $63.88K $16.47 $16.73 $447.44M 208.06 $0.08
Voya Global Equity Dividend and Premium Opportunity Fund  IGD $5.67
-0.18
$447.18M $241.43K $5.66 $5.73 $447.18M 6.67 $0.85
Duff & Phelps Utility and Infrastructure Fund  DPG $12.04
-0.37
$446.86M $135.72K $11.97 $12.1 $446.86M 3.20 $3.75
Valhi  VHI $15.73
+1.34
$445M $26.39K $15.33 $15.86 $445M 3.82 $4.11
Vertical Aerospace  EVTL $5.26
-10.71
$444.93M $765.24K $5.26 $5.95 $444.93M 0 -$50.12
Royce Micro-Cap Trust  RMT $8.72
-0.46
$441.95M $157.04K $8.72 $8.84 $441.95M 6.70 $1.3
PennantPark Inv  PNNT $6.73
0
$439.44M $199.47K $6.67 $6.78 $439.44M 9.21 $0.73
Bar Harbor Bankshares  BHB $28.64
-0.14
$438.82M $59.57K $28.45 $28.85 $438.82M 10.08 $2.84
SandRidge Energy  SD $11.93
-1.24
$437.68M $220.72K $11.91 $12.16 $437.68M 6.85 $1.74
Boston Omaha  BOC $13.88
-0.14
$436.57M $88.73K $13.85 $14.1 $436.57M 462.66 $0.03
Dingdong (Cayman)  DDL $2.01
-0.25
$434.62M $187.85K $2.01 $2.04 $434.62M 10.55 $0.19
Clearwater Paper  CLW $26.66
-0.34
$433.37M $70.14K $26.43 $27.02 $433.37M 0 -$4.65
Caleres  CAL $12.75
-2.89
$430.91M $446.94K $12.65 $13.21 $430.91M 5.26 $2.42
Claros Mortgage Trust  CMTG $3.08
-4.05
$430.56M $866.38K $3.01 $3.28 $430.56M 0 -$1.77
Barings Corporate Investors  MCI $21.2
+0.95
$430.33M $29.64K $21.09 $21.45 $430.33M 12.11 $1.75
Wabash National  WNC $10.24
-1.44
$428.75M $337.17K $10.21 $10.57 $428.75M 0 -$1.43
Eaton Vance Tax-Advantaged Global Dividend Opportunities Fund  ETO $26.08
-0.65
$427.4M $15.09K $26.08 $26.4 $427.4M 3.75 $6.94
Dine Brands Global  DIN $27.29
+3.78
$426.35M $333.67K $26.08 $27.39 $426.35M 7.53 $3.62
AG Mortgage Investment Trust, Inc.  MITT-PB $20.76
-0.19
$423.29M $9.27K $20.75 $21.03 $423.29M 13.18 $1.57
John Hancock Preferred Income Fund  HPI $15.81
-0.13
$422.69M $45.92K $15.66 $15.86 $422.69M 8.19 $1.93
First Foundation  FFWM $5.13
+0.2
$422.64M $322.93K $5.1 $5.27 $422.64M 0 -$1.34
Flotek Industries  FTK $14.14
-2.15
$422.11M $402.91K $13.93 $14.62 $422.11M 30.73 $0.46
Obsidian Energy Ltd.  OBE $5.88
-0.42
$418.84M $222.43K $5.81 $5.93 $418.84M 0 -$1.93
XAI Octagon Floating Rate & Alternative Income Trust  XFLT $5.49
-0.45
$417.71M $458.59K $5.45 $5.52 $417.71M 27.42 $0.2
Flaherty & Crumrine Dynamic Preferred and Income Fund  DFP $20.29
-0.17
$416.62M $38.92K $20.21 $20.3 $416.62M 5.10 $3.97
BlackRock Municipal Income Trust  BFK $9.49
-0.32
$416.18M $177.37K $9.46 $9.51 $416.18M 47.44 $0.2
Ardmore Shipping  ASC $10.14
-3.8
$411.93M $360.33K $10.08 $10.55 $411.93M 3.04 $3.33
Nuveen Pennsylvania Quality Municipal Income Fund  NQP $11.02
+0.27
$410.14M $49K $10.99 $11.03 $410.14M 12.52 $0.88
Nuveen Multi-Asset Income Fund  NMAI $12.27
-0.16
$410.13M $51.6K $12.24 $12.3 $410.13M 11.57 $1.06
Star Group, L.P  SGU $11.87
+1.5
$410.13M $11.25K $11.72 $11.87 $410.13M 6.51 $1.82
Eaton Vance Tax-Managed Buy-Write Income Fund  ETB $13.95
-0.33
$409.9M $54.1K $13.95 $14.08 $409.9M 5.34 $2.61
Abrdn World Healthcare Fund  THW $10.25
-0.87
$408.27M $61.41K $10.25 $10.36 $408.27M 205.00 $0.05
Wells Fargo Advantage Funds - Allspring Income Opportunities Fund  EAD $6.89
+0.44
$407.15M $74.28K $6.83 $6.9 $407.15M 5.69 $1.21
PGIM Short Duration High Yield Opportunities Fund  SDHY $16.48
+0.27
$406.49M $28.29K $16.4 $16.49 $406.49M 10.16 $1.62
Eaton Vance Municipal Income Trust  EVN $10.24
-0.08
$406.26M $28.16K $10.22 $10.25 $406.26M 11.01 $0.93
VAALCO Energy  EGY $3.84
-2.04
$403.5M $536.53K $3.82 $3.96 $403.5M 6.85 $0.56
The Manitowoc Company  MTW $11.3
0
$400.51M $156.95K $11.27 $11.52 $400.51M 8.96 $1.26
First Trust Enhanced Equity Income Fund  FFA $19.92
+0.25
$398.16M $12.62K $19.87 $20.09 $398.16M 5.25 $3.79
Jumia Technologies AG  JMIA $3.23
+2.54
$395.56M $1.97M $3.1 $3.26 $395.56M 0 -$0.63
BlackRock MuniAssets Fund  MUA $10.19
-0.34
$391.92M $107.8K $10.19 $10.25 $391.92M 11.31 $0.9
Guggenheim Taxable Municipal Bond & Investment Grade Debt Trust  GBAB $14.66
+0.14
$391.57M $54.83K $14.58 $14.7 $391.57M 7.47 $1.96
Gold Royalty  GROY $2.3
+3.84
$391.27M $2.14M $2.16 $2.3 $391.27M 0 -$0.02
Stellus Capital Inv  SCM $13.76
-0.04
$390.86M $97.92K $13.73 $13.89 $390.86M 9.61 $1.43
Senseonics  SENS $0.51
+1.66
$387.55M $3.77M $0.5 $0.52 $387.55M 0 -$0.11
Safe Bulkers  SB $3.78
-1.56
$386.73M $418.67K $3.76 $3.88 $386.73M 5.64 $0.67
Ur-Energy  URG $1.06
-6.19
$386.71M $6.51M $1.03 $1.12 $386.71M 0 -$0.13
Xponential Fitness  XPOF $7.92
-1.98
$384.83M $284.07K $7.87 $8.27 $384.83M 0 -$2.08
Nu Skin Enterprises  NUS $7.78
+1.3
$384.43M $283.39K $7.49 $7.78 $384.43M 0 -$0.8
Kingsway Financial Services  KFS $14.15
+1.21
$383.38M $49.1K $13.72 $14.19 $383.38M 0 -$0.39
SelectQuote  SLQT $2.22
-1.56
$382.58M $770.65K $2.2 $2.24 $382.58M 0 -$0.05
Western Asset High Income Fund II  HIX $4.25
-0.12
$382.2M $90.23K $4.23 $4.27 $382.2M 4.93 $0.86
Barnes & Noble Education  BNED $11.12
+1
$378.68M $224.59K $11.04 $11.39 $378.68M 0 -$12.09
BlackRock MuniVest Fund  MVF $6.59
-0.15
$377.84M $75.71K $6.59 $6.63 $377.84M 38.76 $0.17
Saratoga Inv  SAR $24.44
+0.45
$375.52M $39.41K $24.3 $24.5 $375.52M 12.09 $2.02
GeoPark  GPRK $7.32
-1.94
$375.39M $118.83K $7.3 $7.51 $375.39M 3.58 $2.04
Western Asset High Income Opportunity Fund  HIO $3.93
+0.38
$373.74M $182.93K $3.92 $3.94 $373.74M 15.11 $0.26
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