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Acciones del sector Financiero - Gestión de Inversiones

  • Cap. de Mercado

    650.80B
  • Acciones

    48
Visión general
Rendimiento
GROW logoUS Global Investors IncGROW$2.420.03
+1.26%
$30.95M29.99K40.330.06
RMCO logoRoyalty Management Holding Corporation Class A Common StockRMCO$2.420.17
+7.33%
$36.49M16.88K-241.00-0.01
BCG logoBinah Capital Group, Inc. Common StockBCG$2.490.05
+2.05%
$41.34M35.83K83.000.03
HNNA logoHennessy Advisors, Inc.HNNA$10.100.03
+0.28%
$79.71M5.07K8.021.26
AMTD logoAMTD IDEA Group - ADRAMTD$1.080.04
+3.85%
$86.65M40.29K----
M
Mount Logan Capital Inc. Common StockMLCI
$7.450.26
+3.62%
$95.20M39.62K----
GECC logoGreat Elm Capital. Corp. Common StockGECC$7.850.06
+0.77%
$109.75M102.17K-14.00-0.56
SAMG logoSilvercrest Asset Management Group Inc.SAMG$14.960.44
+3.01%
$121.49M30.79K21.070.71
FGNX logoFG Nexus Inc. Common StockFGNX$3.170.25
+8.63%
$122.44M1.23M----
OCCI logoOFS Credit Company, Inc. Common StockOCCI$5.050.04
+0.70%
$136.92M198.57K20.580.24
MRCC logoMonroe Capital CorporationMRCC$6.770.11
+1.61%
$146.05M146.16K-35.48-0.19
WHG logoWESTWOOD HOLDINGS GROUP, INC.WHG$16.360.13
+0.77%
$153.78M14.15K19.930.82
BANX logoArrowMark Financial Corp. Common StockBANX$21.680.21
+1.00%
$154.52M17.02K----
S
Sound Point Meridian Capital, Inc.SPMC
$14.150.19
+1.40%
$290.24M10.87K70.800.20
VALU logoValue Line IncVALU$37.470.26
+0.69%
$352.47M1.92K16.582.26
NOAH logoNoah Holdings Limited - ADRNOAH$10.23-0.23
-2.24%
$673.32M110.95K7.871.29
GCMG logoGCM Grosvenor Inc. Class A Common StockGCMG$11.140.21
+1.97%
$697.99M656.89K39.790.28
CNNE logoCannae Holdings, Inc. Common StockCNNE$16.760.39
+2.41%
$865.70M571.57K-2.17-7.73
ASST logoStrive, Inc. Class A Common StockASST$1.010.03
+3.07%
$882.48M106.67M----
PFLT logoPennantPark Floating Rate Capital Ltd.PFLT$9.540.01
+0.05%
$948.03M717.98K13.090.73
VRTS logoVirtus Investment Partners, Inc.VRTS$163.254.08
+2.57%
$1.11B72.55K8.4019.48
PSEC logoProspect Capital CorporationPSEC$2.65-0.01
-0.19%
$1.25B2.38M-3.09-0.86
CSWC logoCapital Southwest CorpCSWC$22.290.20
+0.91%
$1.29B613.75K13.941.61
SII logoSprott Inc.SII$95.412.95
+3.19%
$2.46B104.52K48.921.95
PAX logoPatria Investments Limited Class A Common SharesPAX$15.760.24
+1.51%
$2.49B415.18K22.830.69
DBRG logoDigitalBridge Group, Inc.DBRG$15.070.07
+0.50%
$2.75B7.21M251.250.06
APAM logoARTISAN PARTNERS ASSET MANAGEMENT INC.APAM$41.640.20
+0.49%
$2.91B638.19K11.273.66
CNS logoCohen & Steers Inc.CNS$60.870.82
+1.36%
$3.10B397.45K19.073.19
AB logoAllianceBernstein Holding, L.P.AB$40.77-1.11
-2.65%
$3.78B678.63K13.673.04
FHI logoFederated Hermes, Inc.FHI$50.740.54
+1.07%
$3.92B469.02K10.544.79
VCTR logoVictory Capital Holdings, Inc. Class A Common StockVCTR$63.040.28
+0.44%
$4.11B430.02K16.153.92
AVAL logoGRUPO AVAL ACCIONES Y VALORES S.A.AVAL$4.19-0.05
-1.18%
$4.97B67.41K12.680.33
HLNE logoHamilton Lane Incorporated Class A Common StockHLNE$128.701.75
+1.38%
$5.65B496.17K23.295.52
JHG logoJanus Henderson Group plc Ordinary SharesJHG$44.730.13
+0.30%
$6.91B697.83K13.123.41
AMG logoAffiliated Managers GroupAMG$271.311.10
+0.41%
$7.63B939.95K16.1516.79
SEIC logoSEI Investments CoSEIC$81.550.65
+0.81%
$9.99B512.40K14.995.44
TPG logoTPG Inc. Class A Common StockTPG$65.473.78
+6.13%
$10.03B2.14M727.770.09
OWL logoBlue Owl Capital Inc.OWL$16.670.65
+4.05%
$11.10B14.55M278.250.06
IVZ logoInvesco LTDIVZ$26.550.74
+2.85%
$11.85B4.78M18.111.47
BEN logoFranklin Resources, Inc.BEN$23.460.34
+1.49%
$12.23B2.19M25.800.91
CG logoThe Carlyle Group Inc. Common StockCG$57.661.44
+2.55%
$20.77B5.11M32.201.79
TROW logoT Rowe Price Group IncTROW$105.330.81
+0.77%
$23.02B1.41M11.499.18
ARES logoAres Management Corporation Class A Common StockARES$176.2211.96
+7.28%
$38.87B15.50M75.702.33
MSCI logoMSCI, Inc.MSCI$537.060.16
+0.03%
$40.36B598.82K34.0415.78
AMP logoAmeriprise Financial, Inc.AMP$478.101.37
+0.29%
$44.43B404.65K13.1136.47
APO logoApollo Global Management, Inc.APO$143.896.51
+4.74%
$83.54B5.02M21.046.84
KKR logoKKR & Co. Inc.KKR$135.865.62
+4.32%
$118.93B5.77M56.542.36
BLK logoBlackrock, Inc.BLK$1070.818.79
+0.83%
$165.31B445.43K27.4038.89
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