إعلان
إعلان

أسهم صناعة المالية - إدارة الاستثمار

  • القيمة السوقية

    659.79B
  • الأسهم

    48
نظرة عامة
الأداء
GROW logoUS Global Investors IncGROW$2.450.04
+1.45%
$31.33M16.20K40.830.06
BCG logoBinah Capital Group, Inc. Common StockBCG$2.440.08
+3.61%
$40.51M9.67K81.330.03
RMCO logoRoyalty Management Holding Corporation Class A Common StockRMCO$2.73-0.09
-3.08%
$41.32M39.09K-272.90-0.01
HNNA logoHennessy Advisors, Inc.HNNA$9.370.03
+0.32%
$73.95M99.38K7.441.26
AMTD logoAMTD IDEA Group - ADRAMTD$1.010.00
-0.49%
$81.03M6.64K----
GECC logoGreat Elm Capital. Corp. Common StockGECC$6.820.07
+0.96%
$95.40M38.82K-12.17-0.56
M
Mount Logan Capital Inc. Common StockMLCI
$8.260.02
+0.18%
$105.55M6.67K----
FGNX logoFG Nexus Inc. Common StockFGNX$2.90-0.13
-4.32%
$114.73M301.71K----
SAMG logoSilvercrest Asset Management Group Inc.SAMG$15.09-0.04
-0.30%
$122.51M15.88K21.250.71
MRCC logoMonroe Capital CorporationMRCC$6.16-0.06
-0.96%
$133.46M203.68K-32.42-0.19
OCCI logoOFS Credit Company, Inc. Common StockOCCI$4.840.03
+0.62%
$135.64M77.64K-13.08-0.37
WHG logoWESTWOOD HOLDINGS GROUP, INC.WHG$17.47-0.13
-0.74%
$164.36M7.32K21.300.82
BANX logoArrowMark Financial Corp. Common StockBANX$21.98-0.41
-1.81%
$171.57M23.21K----
S
Sound Point Meridian Capital, Inc.SPMC
$13.22-0.17
-1.31%
$270.97M18.78K66.100.20
VALU logoValue Line IncVALU$38.600.45
+1.18%
$362.45M22117.082.26
NOAH logoNoah Holdings Limited - ADRNOAH$10.03-0.02
-0.24%
$663.58M41.60K7.771.29
ASST logoStrive, Inc. Class A Common StockASST$0.81-0.05
-5.45%
$708.59M23.75M----
GCMG logoGCM Grosvenor Inc. Class A Common StockGCMG$11.48-0.04
-0.39%
$719.61M149.02K41.020.28
CNNE logoCannae Holdings, Inc. Common StockCNNE$15.84-0.06
-0.38%
$818.91M254.49K-2.05-7.73
PFLT logoPennantPark Floating Rate Capital Ltd.PFLT$9.120.08
+0.83%
$904.37M772.93K12.490.73
VRTS logoVirtus Investment Partners, Inc.VRTS$166.53-0.03
-0.02%
$1.12B26.31K8.5519.48
PSEC logoProspect Capital CorporationPSEC$2.520.02
+1.00%
$1.18B3.15M-2.92-0.86
CSWC logoCapital Southwest CorpCSWC$21.860.16
+0.71%
$1.26B181.49K13.571.61
DBRG logoDigitalBridge Group, Inc.DBRG$13.870.25
+1.80%
$2.53B1.27M231.080.06
PAX logoPatria Investments Limited Class A Common SharesPAX$16.050.09
+0.60%
$2.54B115.79K23.270.69
SII logoSprott Inc.SII$100.720.47
+0.46%
$2.60B87.60K51.651.95
APAM logoARTISAN PARTNERS ASSET MANAGEMENT INC.APAM$41.840.09
+0.23%
$2.95B107.18K11.433.66
CNS logoCohen & Steers Inc.CNS$64.060.84
+1.33%
$3.27B165.75K20.083.19
AB logoAllianceBernstein Holding, L.P.AB$39.110.09
+0.24%
$3.56B76.89K12.873.04
VCTR logoVictory Capital Holdings, Inc. Class A Common StockVCTR$64.06-0.17
-0.27%
$4.16B141.18K16.343.92
FHI logoFederated Hermes, Inc.FHI$54.16-0.16
-0.30%
$4.20B159.63K11.314.79
AVAL logoGRUPO AVAL ACCIONES Y VALORES S.A.AVAL$4.20-0.07
-1.55%
$4.99B39.71K12.740.33
HLNE logoHamilton Lane Incorporated Class A Common StockHLNE$138.760.13
+0.09%
$6.10B299.76K25.145.52
JHG logoJanus Henderson Group plc Ordinary SharesJHG$47.660.02
+0.03%
$7.12B327.83K13.983.41
AMG logoAffiliated Managers GroupAMG$295.454.32
+1.48%
$8.31B117.86K17.6016.79
TPG logoTPG Inc. Class A Common StockTPG$65.330.14
+0.21%
$10.00B407.44K725.890.09
OWL logoBlue Owl Capital Inc.OWL$15.07-0.39
-2.51%
$10.02B6.18M251.200.06
SEIC logoSEI Investments CoSEIC$84.92-0.45
-0.52%
$10.40B167.66K15.615.44
IVZ logoInvesco LTDIVZ$26.95-0.27
-0.97%
$11.99B982.56K18.331.47
BEN logoFranklin Resources, Inc.BEN$24.13-0.05
-0.23%
$12.58B823.89K26.510.91
CG logoThe Carlyle Group Inc. Common StockCG$60.90-0.09
-0.15%
$21.95B368.66K34.021.79
TROW logoT Rowe Price Group IncTROW$104.56-0.12
-0.11%
$22.82B412.95K11.399.18
ARES logoAres Management Corporation Class A Common StockARES$168.55-0.51
-0.30%
$37.14B360.72K72.342.33
MSCI logoMSCI, Inc.MSCI$583.201.45
+0.25%
$43.82B75.04K36.9615.78
AMP logoAmeriprise Financial, Inc.AMP$500.61-0.36
-0.07%
$46.51B149.94K13.7336.47
APO logoApollo Global Management, Inc.APO$148.32-0.53
-0.35%
$86.09B712.43K21.686.84
KKR logoKKR & Co. Inc.KKR$130.40-0.38
-0.29%
$116.23B1.10M55.252.36
BLK logoBlackrock, Inc.BLK$1086.62-2.35
-0.22%
$168.59B130.14K27.9438.89
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