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结果页面 17,交易所:NYSE ,股市 - 报价与价格

包含价格、市值、市盈率和每股收益的所有股票清单
所有国家
所有行业
名称 名称 价格 价格 24h%
7d chart
24h% & 7d
市值 市值 交易量 交易量 低24小时 高24小时 市值 市盈率 每股收益
名称 名称 价格 价格 24h%
7d chart
24h% & 7d
市值 市值 交易量 交易量 低24小时 高24小时 市值 市盈率 每股收益
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Build-A-Bear Workshop  BBW $49.89
-1.25
$658.98M $229.23K $49.33 $50.53 $658.98M 12.02 $4.15
Oppenheimer  OPY $62.44
-1.65
$657.21M $61.61K $61.39 $62.8 $657.21M 9.29 $6.72
Abrdn Asia-Pacific Income Fund  FAX $15.88
+0.63
$655.57M $93.06K $15.77 $15.88 $655.57M 5.88 $2.7
Nexa Resources  NEXA $4.93
-0.4
$652.92M $43.64K $4.87 $5 $652.92M 0 -$1.28
Beazer Homes USA  BZH $21.49
-3.42
$651.22M $219.99K $21.36 $22.26 $651.22M 6.95 $3.09
ASA Gold and Precious Metals  ASA $34.29
+2.63
$648.46M $37.78K $33.93 $34.61 $648.46M 5.71 $6
Cars.com  CARS $10.3
-3.2
$647.73M $864K $10.29 $10.5 $647.73M 15.14 $0.68
John Hancock Premium Dividend Fund  PDT $13.08
-0.53
$643.34M $111.89K $13.01 $13.13 $643.34M 3.27 $4
AdvanSix  ASIX $23.99
-2
$643.24M $107.21K $23.88 $24.43 $643.24M 7.66 $3.13
Weave Communications  WEAV $8.53
-6.16
$641.3M $659.89K $8.51 $8.91 $641.3M 0 -$0.42
BlackRock Enhanced Global Dividend Trust  BOE $11.21
+0.11
$639.26M $231.14K $11.12 $11.21 $639.26M 10.99 $1.02
Whitestone REIT  WSR $12.4
-0.16
$639.17M $228.26K $12.21 $12.41 $639.17M 20.32 $0.61
Koppers  KOP $31.91
-2.51
$638.52M $71.27K $31.81 $32.48 $638.52M 26.81 $1.19
Similarweb  SMWB $7.63
-6.27
$637.4M $518.45K $7.63 $8.12 $637.4M 0 -$0.22
The India Fund  IFN $15.93
-2.51
$635.57M $200.19K $15.89 $16.23 $635.57M 5.02 $3.17
Federal Agricultural Mortgage Corporation  AGM-PD $21.64
+1.55
$634.11M $6.3K $21.1 $21.64 $634.11M 1.94 $11.11
Virtus Equity & Convertible Income Fund  NIE $22.85
-1.42
$633.15M $47.57K $22.79 $23.09 $633.15M 4.86 $4.7
TPG RE Finance Trust  TRTX $7.92
-2.46
$632.47M $488.59K $7.91 $8.11 $632.47M 11.31 $0.7
Costamare Inc.  CMRE-PC $25.85
+0.39
$626.56M $4.65K $25.74 $26.04 $626.56M 6.95 $3.72
Riley Exploration Permian  REPX $28.44
+0.46
$626.33M $127.61K $28.07 $29.06 $626.33M 6.07 $4.68
KKR Real Estate Finance Trust  KREF $9.19
-3.47
$623.14M $697.73K $9.19 $9.48 $623.14M 54.05 $0.17
Sturm, Ruger & Company  RGR $37.55
-0.82
$621.64M $150.3K $37.28 $37.81 $621.64M 20.51 $1.83
Customers Bancorp, Inc.  CUBI-PF $25.42
+0.43
$620.68M $4.98K $25.4 $25.45 $620.68M 2.53 $10.03
Shutterstock  SSTK $17.57
-4.92
$619.41M $168.13K $17.53 $18.29 $619.41M 16.11 $1.09
Orion  OEC $10.92
-3.28
$614.46M $573K $10.89 $11.46 $614.46M 23.73 $0.46
Invesco Municipal Opportunity Trust  VMO $9.06
-0.55
$611.01M $285.92K $9.03 $9.11 $611.01M 25.16 $0.36
Customers Bancorp, Inc.  CUBI-PE $25
+0.04
$606.68M $12.58K $24.98 $25 $606.68M 2.49 $10.03
Genco Shipping & Trading  GNK $14.12
+1
$606.59M $864.21K $13.76 $14.14 $606.59M 13.57 $1.04
Covenant Logistics  CVLG $22.76
-1.94
$604.41M $180.98K $22.76 $23.19 $604.41M 16.49 $1.38
Nordic American Tankers  NAT $2.84
+4.41
$601.37M $5.33M $2.73 $2.86 $601.37M 16.70 $0.17
BlackRock Multi-Sector Income Trust  BIT $14.37
+0.03
$601.22M $263.99K $14.33 $14.43 $601.22M 11.77 $1.22
Nuveen Dynamic Municipal Opportunities Fund  NDMO $10.08
-1.25
$600.39M $121.82K $10.03 $10.2 $600.39M 4.96 $2.03
SITE Centers  SITC $11.41
-3.96
$600M $1.02M $11.3 $11.73 $600M 1.09 $10.4
Cohen & Steers Limited Duration Preferred and Income Fund, Inc.  LDP $20.6
-0.39
$599.03M $67.67K $20.49 $20.7 $599.03M 7.03 $2.93
Eaton Vance Risk-Managed Diversified Equity Income Fund  ETJ $8.89
-0.56
$598.31M $145.95K $8.82 $8.92 $598.31M 4.44 $2
Owens & Minor  OMI $7.79
-2.26
$596.82M $826.61K $7.75 $7.96 $596.82M 0 -$4.76
Guess?  GES $11.46
-3.54
$596.11M $674.58K $11.28 $11.8 $596.11M 0 -$0.11
LSB Industries  LXU $8.26
+4.16
$593.71M $484.45K $7.82 $8.33 $593.71M 0 -$0.37
ATRenew  RERE $2.67
-2.91
$592.87M $379.74K $2.66 $2.78 $592.87M 29.66 $0.09
CTO Realty Growth  CTO $18
-2.54
$592.82M $301.31K $17.89 $18.41 $592.82M 0 -$0.55
Oxford Industries  OXM $39.5
-8.29
$589.95M $1.06M $39.28 $42.71 $589.95M 7.66 $5.15
Nuvation Bio  NUVB $1.73
-4.42
$588.66M $8.46M $1.69 $1.82 $588.66M 0 -$2.2
Lithium Americas  LAC $2.65
+0.76
$582.75M $3.59M $2.56 $2.68 $582.75M 0 -$0.22
BlackRock MuniHoldings Fund  MHD $11.16
-0.18
$581.9M $84.04K $11.09 $11.24 $581.9M 50.72 $0.22
Nextdoor  KIND $1.52
-1.94
$581.53M $1.59M $1.51 $1.55 $581.53M 0 -$0.24
Nuveen Municipal Credit Opportunities Fund  NMCO $10.54
-0.11
$577.61M $129.7K $10.49 $10.58 $577.61M 4.52 $2.33
Invesco Senior Income Trust  VVR $3.76
+0.53
$577.48M $479.24K $3.7 $3.76 $577.48M 13.92 $0.27
BlackRock MuniHoldings New Jersey Quality Fund  MUJ $10.81
-0.15
$574.93M $92.04K $10.77 $10.9 $574.93M 51.47 $0.21
Adams Natural Resources Fund  PEO $21.78
+2.01
$572.48M $92.56K $21.56 $22.08 $572.48M 17.14 $1.27
NGL Energy Partners LP  NGL $4.31
-0.69
$568.98M $549.43K $4.28 $4.49 $568.98M 0 -$0.43
Butterfly Network  BFLY $2.3
-5.74
$568.76M $2.9M $2.29 $2.42 $568.76M 0 -$0.3
Western Asset Emerging Markets Debt Fund  EMD $9.77
-0.46
$567.64M $96.07K $9.75 $9.81 $567.64M 9.21 $1.06
Universal Health Realty Income Trust  UHT $40.86
-0.75
$565.97M $51.15K $40.38 $40.91 $565.97M 30.26 $1.35
Core Laboratories  CLB $12.07
+0.58
$565.88M $332.24K $11.81 $12.36 $565.88M 20.45 $0.59
Titan  TWI $8.84
-2.75
$563.15M $358.71K $8.73 $8.98 $563.15M 0 -$0.23
BlackRock Utilities, Infrastructure & Power Opportunities Trust  BUI $24.79
-0.22
$562.91M $63.98K $24.43 $24.85 $562.91M 15.59 $1.59
Avanos Medical  AVNS $12.1
-2.18
$559.55M $282.53K $12.06 $12.29 $559.55M 0 -$8.27
Nuveen California AMT-Free Quality Municipal Income Fund  NKX $11.54
-0.29
$551.27M $203.19K $11.5 $11.59 $551.27M 13.57 $0.85
USANA Health Sciences  USNA $29.55
-0.77
$550.31M $171.59K $29.33 $29.71 $550.31M 16.23 $1.82
Invesco Value Municipal Income Trust  IIM $11.66
-0.34
$548.82M $85.33K $11.63 $11.69 $548.82M 25.91 $0.45
Hovnanian Enterprises  HOV $93.15
-6.42
$548.75M $95.67K $91.85 $97.69 $548.75M 3.29 $28.24
Myers Industries  MYE $14.67
+0.89
$548.4M $475.09K $14.59 $15.22 $548.4M 52.39 $0.28
Yiren Digital  YRD $6.34
-6.21
$547.82M $208.1K $6.3 $6.82 $547.82M 2.94 $2.15
Nabors Industries  NBR $34.89
+3.84
$547.76M $536.38K $33.9 $37.5 $547.76M 0 -$15.65
Permian Basin Royalty Trust  PBT $11.74
+1.73
$547.19M $130.14K $11.58 $11.89 $547.19M 23.95 $0.49
Green Dot  GDOT $9.96
-3.21
$546.71M $671.38K $9.88 $10.23 $546.71M 0 -$0.12
Clear Channel Outdoor  CCO $1.1
-5.17
$546.39M $3.57M $1.08 $1.14 $546.39M 0 -$0.23
PGIM Global High Yield Fund  GHY $13.3
0
$544.29M $80.25K $13.24 $13.3 $544.29M 8.06 $1.65
Western Asset Managed Municipals Fund  MMU $9.94
-0.1
$542.91M $75.28K $9.89 $9.95 $542.91M 11.42 $0.87
BlackRock Debt Strategies Fund  DSU $10.47
-0.01
$542.44M $197.36K $10.45 $10.53 $542.44M 11.38 $0.92
Controladora Vuela Compañía de Aviación, S.A.B. de C.V  VLRS $4.47
-4.08
$541.08M $634.88K $4.45 $4.63 $541.08M 0 -$6.32
Borr Drilling  BORR $2.26
+3.2
$540.84M $7.41M $2.18 $2.34 $540.84M 11.89 $0.19
BlackRock Core Bond Trust  BHK $9.78
+0.36
$540.75M $199.15K $9.75 $9.85 $540.75M 54.33 $0.18
Farmland Partners  FPI $11.42
-0.7
$538.95M $546.49K $11.39 $11.53 $538.95M 10.57 $1.08
One Liberty Properties  OLP $24.91
-1.77
$537.91M $76.62K $24.73 $25.38 $537.91M 18.45 $1.35
Blackstone Strategic Credit 2027 Term Fund  BGB $12
-0.33
$535.97M $66.57K $11.96 $12.03 $535.97M 9.59 $1.25
Torrid  CURV $5.1
+3.03
$535.61M $242.31K $4.81 $5.22 $535.61M 56.66 $0.09
BlackRock Enhanced International Dividend Trust  BGY $5.76
-0.82
$535.32M $135.12K $5.72 $5.8 $535.32M 52.36 $0.11
The Marcus  MCS $17.08
-1.44
$534.56M $169.8K $17.03 $17.46 $534.56M 0 -$0.41
BlueLinx  BXC $66.6
-4.41
$534.28M $75.45K $66.59 $68.81 $534.28M 14.73 $4.52
SmartFinancial  SMBK $31.39
-2.82
$534.18M $53.26K $31.37 $32.02 $534.18M 13.88 $2.26
BlackRock Limited Duration Income Trust  BLW $13.99
-0.19
$529.52M $78.1K $13.95 $14.08 $529.52M 11.10 $1.26
North American Construction  NOA $17.95
+0.06
$528.29M $35.22K $17.86 $18.01 $528.29M 18.31 $0.98
First Trust High Yield Opportunities 2027 Term Fund  FTHY $14.36
-0.28
$528.06M $54.34K $14.35 $14.39 $528.06M 10.33 $1.39
GAMCO Global Gold, Natural Resources & Income Trust  GGN-PB $20.62
-0.12
$526.94M $1.48K $20.62 $20.62 $526.94M 82.13 $0.25
Advent Convertible and Income Fund  AVK $11.86
-0.61
$523.6M $120.65K $11.79 $11.9 $523.6M 4.36 $2.72
Ginkgo Bioworks  DNA $8.94
-3.77
$523.28M $952.51K $8.85 $9.54 $523.28M 0 -$8.91
Western Asset Inflation-Linked Opportunities & Income Fund  WIW $8.55
-0.35
$523.12M $98.88K $8.54 $8.59 $523.12M 14.74 $0.58
Americas Gold and Silver  USAS $0.8
+0.13
$518.69M $1.64M $0.78 $0.8199 $518.69M 0 -$0.13
Eaton Vance Municipal Bond Fund  EIM $9.59
-0.52
$518.59M $76.33K $9.56 $9.64 $518.59M 0 -$0.07
Avino Silver & Gold Mines  ASM $3.56
-4.04
$516.66M $9.67M $3.52 $3.81 $516.66M 35.60 $0.1
Invesco Trust for Investment Grade Municipals  VGM $9.48
-0.32
$514.12M $229.81K $9.47 $9.51 $514.12M 24.94 $0.38
MarineMax  HZO $23.93
-4.51
$513.86M $250.3K $23.85 $24.72 $513.86M 9.76 $2.45
PlayAGS  AGS $12.37
0
$513.42M $244.81K $12.35 $12.38 $513.42M 10.66 $1.16
Summit Hotel Properties  INN $4.57
-2.77
$512.85M $2.72M $4.51 $4.68 $512.85M 22.85 $0.2
KKR Income Opportunities Fund  KIO $12.23
-0.48
$508.57M $140K $12.2 $12.24 $508.57M 5.01 $2.44
Neuberger Berman Energy Infrastructure and Income Fund  NML $8.96
+0.34
$507.66M $157.35K $8.89 $9.04 $507.66M 2.97 $3.01
Invesco Mortgage Capital  IVR $7.69
-1.16
$507.1M $950.14K $7.68 $7.79 $507.1M 18.30 $0.42
McEwen Mining  MUX $9.39
+0.86
$506.94M $1.17M $9.3 $9.55 $506.94M 0 -$0.57
Aspen Aerogels  ASPN $6.16
-4.05
$506.19M $943.32K $6.14 $6.34 $506.19M 0 -$3.48
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