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Trang kết quả 19 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 (2290)
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 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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Barings Global Short Duration High Yield Fund  BGH $15.08
-0.26
$302.57M $37.15K $15.05 $15.11 $302.57M 9.36 $1.61
MFS Intermediate Income Trust  MIN $2.64
+0.76
$300.43M $546.27K $2.62 $2.67 $300.43M 12.00 $0.22
Spire Global, Inc.  SPIR $9.18
+2.34
$300.41M $492.16K $8.93 $9.32 $300.41M 15.55 $0.59
Japan Smaller Capitalization Fund  JOF $10.58
-0.56
$299.77M $20.14K $10.56 $10.64 $299.77M 4.39 $2.41
DoubleLine Opportunistic Credit Fund  DBL $15.29
-0.29
$298.81M $66.91K $15.28 $15.37 $298.81M 14.15 $1.08
Cohen & Steers Total Return Realty Fund  RFI $11.14
-0.22
$297.83M $131.59K $11.11 $11.20 $297.83M 10.04 $1.11
Virtus Global Dividend & Income Fund  ZTR $6.29
-1.1
$297.17M $178.28K $6.28 $6.39 $297.17M 11.15 $0.56
Eagle Point Income Company  EIC $11.20
-0.88
$296.96M $171.79K $11.18 $11.33 $296.96M 8.75 $1.28
Nuveen California Municipal Value Fund  NCA $8.88
+0.97
$294.17M $198.52K $8.77 $8.93 $294.17M 0 -$0.21
Invesco Municipal Income Opportunities Trust  OIA $6.16
-0.32
$293.69M $199.21K $6.12 $6.18 $293.69M 0 -$0.31
Morgan Stanley China A Share Fund  CAF $17.07
+4.15
$293.20M $93.28K $16.89 $17.08 $293.20M 8.49 $2.01
Braemar Hotels & Resorts Inc.  BHR-PB $15.00
+0.13
$292.68M $19.84K $14.85 $15.36 $292.68M 0 -$0.30
Nuveen Preferred Securities & Income Opportunities Fund  JPI $20.68
-0.19
$291.59M $30.88K $20.65 $20.72 $291.59M 9.89 $2.09
Nuveen Global High Income Fund  JGH $12.44
-0.4
$291.17M $115.77K $12.44 $12.63 $291.17M 7.63 $1.63
agilon health  AGL $0.69
+6.42
$287.76M $11.45M $0.66 $0.72 $287.76M 0 -$0.78
Virgin Galactic  SPCE $4.55
+5.57
$287.56M $2.70M $4.30 $4.57 $287.56M 0 -$6.84
Templeton Dragon Fund  TDF $11.31
-0.35
$286.74M $127.90K $11.26 $11.37 $286.74M 4.52 $2.50
Clearwater Paper  CLW $17.70
-1.5
$285.04M $147.51K $17.63 $18.01 $285.04M 0 -$4.61
abrdn Emerging Markets ex-China Fund  AEF $7.00
+1.82
$284.01M $289.29K $6.67 $7.00 $284.01M 7.21 $0.97
BlackRock Municipal Income Quality Trust  BYM $10.96
+0.18
$283.90M $70.50K $10.94 $10.99 $283.90M 0 -$0.64
Marine Products  MPX $8.10
-7
$283.49M $31.14K $8.06 $8.75 $283.49M 21.31 $0.38
The Mexico Fund  MXF $19.63
+0.46
$283.07M $36.98K $19.52 $19.69 $283.07M 0 -$2.36
Ares Commercial Real Estate  ACRE $5.13
+0.59
$282.29M $398.03K $5.02 $5.18 $282.29M 0 -$0.14
Xperi  XPER $6.06
+0.66
$280.79M $213.03K $6.01 $6.19 $280.79M 37.87 $0.16
City Office REIT  CIO $6.95
+0.14
$280.53M $200.04K $6.93 $6.95 $280.53M 0 -$3.21
NYLI MacKay DefinedTerm Muni Opportunities Fund  MMD $14.90
-0.2
$279.81M $166.99K $14.85 $14.93 $279.81M 0 -$0.21
San Juan Basin Royalty Trust  SJT $5.98
-0.17
$278.72M $133.92K $5.82 $6.10 $278.72M 0 -$0.01
Abrdn Global Dynamic Dividend Fund  AGD $11.20
-0.18
$278.63M $89.91K $11.15 $11.24 $278.63M 12.17 $0.92
Civeo  CVEO $22.15
-1.56
$278.02M $17.21K $22.10 $22.57 $278.02M 0 -$2.09
Putnam Managed Municipal Income Trust  PMM $6.20
-0.96
$276.91M $241.93K $6.17 $6.30 $276.91M 29.52 $0.21
BRT Apartments  BRT $14.54
+0.35
$276.56M $35.49K $14.50 $14.64 $276.56M 0 -$0.51
Rivernorth Managed Duration Municipal Income Fund  RMM $13.98
-0.43
$275.96M $101.57K $13.91 $14.00 $275.96M 0 -$0.65
3D Systems  DDD $2.13
-1.39
$274.21M $866.97K $2.12 $2.23 $274.21M 53.25 $0.04
Entravision Communications  EVC $3.01
+10.26
$273.84M $735.69K $2.85 $3.04 $273.84M 0 -$1.29
CoastalSouth Bancshares  COSO $22.85
+0.22
$273.72M $9.94K $22.78 $22.88 $273.72M 9.93 $2.30
X Financial  XYF $6.67
-4.44
$272.69M $156.84K $6.66 $6.94 $272.69M 1.15 $5.78
Virtus Diversified Income & Convertible Fund  ACV $26.24
0
$272.28M $21.36K $26.05 $26.76 $272.28M 6.29 $4.17
Aspen Aerogels  ASPN $3.29
-7.06
$271.91M $1.58M $3.27 $3.54 $271.91M 0 -$3.71
Nuveen Core Equity Alpha Fund  JCE $15.93
-0.19
$270.85M $39.40K $15.83 $16.31 $270.85M 7.27 $2.19
TriplePoint Venture Growth BDC  TPVG $6.68
-1.04
$269.87M $378.69K $6.61 $6.79 $269.87M 8.04 $0.83
W&T Offshore  WTI $1.81
-2.16
$269.29M $842.65K $1.80 $1.88 $269.29M 0 -$0.99
Alpine Income Property Trust  PINE $17.45
-0.34
$268.53M $124.86K $17.10 $17.46 $268.53M 0 -$0.36
Orion  OEC $4.75
-4.62
$266.71M $315.10K $4.74 $5.00 $266.71M 0 -$0.57
NL Industries  NL $5.45
+0.18
$266.30M $14.53K $5.45 $5.63 $266.30M 27.24 $0.20
Virtus Convertible & Income Fund II  NCZ $13.93
-0.71
$265.07M $56.77K $13.82 $14.01 $265.07M 1.27 $10.94
Tredegar  TG $7.60
+0.66
$264.42M $88.25K $7.60 $7.74 $264.42M 108.57 $0.07
Braemar Hotels & Resorts Inc.  BHR-PD $18.63
+2.02
$264.19M $5.83K $18.48 $18.97 $264.19M 0 -$0.30
Allspring Multi-Sector Income Fund  ERC $9.38
-0.42
$263.14M $126.05K $9.39 $9.45 $263.14M 12.67 $0.74
Templeton Emerging Markets Fund  EMF $17.60
+1.03
$263.08M $47.09K $17.45 $17.78 $263.08M 5.23 $3.36
MFS Charter Income Trust  MCR $6.31
-0.47
$263.05M $43.46K $6.31 $6.35 $263.05M 14.34 $0.44
AG Mortgage Investment Trust  MITT $8.24
-0.96
$261.57M $140.26K $8.21 $8.34 $261.57M 8.86 $0.93
LMP Capital and Income Fund  SCD $14.88
-0.87
$260.64M $64.52K $14.85 $15.05 $260.64M 13.05 $1.14
MFS Multimarket Income Trust  MMT $4.69
-0.53
$259.37M $44.65K $4.68 $4.72 $259.37M 12.34 $0.38
Eaton Vance National Municipal Opportunities Trust  EOT $16.55
-0.15
$258.67M $65.02K $16.49 $16.62 $258.67M 0 -$0.13
Nuveen AMT-Free Municipal Value Fund  NUW $14.36
+0.21
$257.78M $31.89K $14.32 $14.36 $257.78M 119.66 $0.12
ON24  ONTF $6.06
+1.85
$256.38M $131.79K $5.95 $6.11 $256.38M 0 -$0.74
Wells Fargo Advantage Funds - Allspring Global Dividend Opportunity Fund  EOD $5.94
0
$255.81M $134.07K $5.90 $5.97 $255.81M 8.73 $0.68
Morgan Stanley India Investment Fund  IIF $26.47
-0.68
$255.67M $68.87K $26.40 $26.54 $255.67M 18.00 $1.47
Genesco  GCO $23.56
+3.65
$254.34M $313.58K $22.62 $24.08 $254.34M 0 -$0.23
Finance of America Companies  FOA $22.72
+0.93
$251.72M $88.47K $22.31 $22.78 $251.72M 0 -$1.04
Western Asset High Yield Opportunity Fund  HYI $11.07
-0.18
$250.92M $85.17K $11.04 $11.11 $250.92M 11.53 $0.96
J.Jill  JILL $16.28
+0.18
$248.81M $36.00K $16.04 $16.45 $248.81M 6.86 $2.37
BlackRock New York Municipal Income Trust  BNY $10.24
0
$246.96M $84.46K $10.18 $10.28 $246.96M 0 -$0.97
Franklin Limited Duration Income Trust  FTF $6.11
+0.16
$246.88M $141.92K $6.10 $6.14 $246.88M 12.72 $0.48
Cohen & Steers Select Preferred and Income Fund  PSF $20.52
+0.34
$246.82M $61.45K $20.37 $20.55 $246.82M 10.05 $2.04
First Trust Senior Floating Rate Income Fund II  FCT $9.49
+0.53
$246.58M $233.35K $9.42 $9.56 $246.58M 13.36 $0.71
Methode Electronics  MEI $6.95
-0.57
$246.09M $276.77K $6.92 $7.15 $246.09M 0 -$1.78
Nerdy  NRDY $1.31
-0.76
$245.41M $1.47M $1.28 $1.37 $245.41M 0 -$0.35
Pioneer High Income Fund  PHT $8.32
-0.83
$244.12M $462.22K $8.32 $8.40 $244.12M 12.23 $0.68
Clough Global Opportunities Fund  GLO $5.68
-0.7
$243.13M $144.86K $5.67 $5.73 $243.13M 35.53 $0.16
Designer Brands  DBI $4.85
-0.61
$240.29M $689.09K $4.76 $4.93 $240.29M 0 -$0.59
SelectQuote  SLQT $1.35
-2.88
$237.56M $876.69K $1.34 $1.42 $237.56M 135.00 $0.01
Citizens  CIA $4.72
-6.53
$237.40M $62.04K $4.66 $5.18 $237.40M 22.47 $0.21
TCW Strategic Income Fund  TSI $4.91
+0.61
$234.63M $113.72K $4.88 $4.92 $234.63M 10.22 $0.48
Douglas Elliman  DOUG $2.64
+2.72
$234.48M $199.34K $2.60 $2.66 $234.48M 0 -$0.70
Eaton Vance California Municipal Bond Fund  EVM $9.46
-0.84
$233.41M $364.39K $9.46 $9.58 $233.41M 0 -$0.09
Lazard Global Total Return and Income Fund  LGI $17.64
-0.56
$229.55M $33.43K $17.61 $17.78 $229.55M 13.36 $1.32
ChargePoint  CHPT $9.50
-8.92
$228.00M $791.55K $9.36 $10.48 $228.00M 0 -$10.19
Ashford Hospitality Trust, Inc.  AHT-PH $13.25
-0.09
$225.57M $3.59K $13.25 $13.88 $225.57M 0 -$8.49
MFS Municipal Income Trust  MFM $5.42
-0.18
$223.24M $81.12K $5.40 $5.44 $223.24M 27.10 $0.20
JELD-WEN Holding  JELD $2.61
0
$222.97M $1.47M $2.57 $2.71 $222.97M 0 -$7.62
BlackRock MuniVest Fund II  MVT $10.68
-0.37
$222.80M $16.56K $10.67 $10.78 $222.80M 0 -$0.73
Ashford Hospitality Trust, Inc.  AHT-PI $13.17
-0.11
$222.51M $6.16K $12.98 $13.20 $222.51M 0 -$8.49
BlackRock MuniYield Quality Fund II  MQT $10.03
-0.4
$222.21M $43.65K $10.00 $10.04 $222.21M 0 -$0.68
Nuveen Real Estate Income Fund  JRS $7.68
-0.9
$221.89M $73.33K $7.63 $7.74 $221.89M 15.05 $0.51
Neuberger Berman High Yield Strategies Fund  NHS $7.24
-0.14
$221.84M $148.15K $7.22 $7.29 $221.84M 9.16 $0.79
Highland Global Allocation Fund  HGLB $9.53
-1.14
$220.93M $41.71K $9.48 $9.67 $220.93M 5.95 $1.60
BlackRock MuniHoldings Quality Fund II  MUE $10.05
-0.1
$220.28M $36.07K $10.01 $10.08 $220.28M 0 -$0.69
Diana Shipping  DSX $1.90
-1.04
$219.99M $260.13K $1.90 $1.95 $219.99M 12.66 $0.15
Angel Oak Mortgage REIT  AOMR $8.72
-1.36
$217.25M $69.67K $8.68 $8.83 $217.25M 11.32 $0.77
Hamilton Beach Brands Holding Company  HBB $15.73
-3.5
$211.98M $18.78K $15.88 $16.85 $211.98M 7.08 $2.22
Credit Suisse High Yield Bond Fund  DHY $2.04
-0.49
$211.36M $493.63K $2.03 $2.05 $211.36M 12.75 $0.16
Amplify Energy  AMPY $5.22
-6.12
$211.28M $767.95K $5.17 $5.51 $211.28M 0 -$0.69
Barings Participation Investors  MPV $19.53
<0.01
$209.41M $12.91K $19.50 $19.64 $209.41M 13.65 $1.43
Cheetah Mobile  CMCM $6.79
-1.16
$208.39M $28.12K $6.73 $6.93 $208.39M 0 -$2.07
Eaton Vance Municipal Income 2028 Term Trust  ETX $19.07
-0.42
$207.64M $8.90K $19.07 $19.16 $207.64M 31.78 $0.60
Nuveen Virginia Quality Municipal Income Fund  NPV $11.23
-0.53
$207.32M $107.84K $11.18 $11.31 $207.32M 0 -$0.18
Franklin Covey  FC $15.91
+0.13
$201.13M $105.47K $15.72 $16.03 $201.13M 66.29 $0.24
Franklin Universal Trust  FT $7.96
-0.5
$200.05M $59.36K $7.95 $8.04 $200.05M 10.33 $0.77
RiverNorth/DoubleLine Strategic Opportunity Fund  OPP $7.96
0
$198.92M $76.81K $7.95 $7.99 $198.92M 8.20 $0.97
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