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Acciones del sector Financiero - Gestión de Inversiones

  • Cap. de Mercado

    627.76B
  • Acciones

    48
Visión general
Rendimiento
FGNX logoFG Nexus Inc. Common StockFGNX$3.800.09
+2.32%
$5.10M1.66M----
BCG logoBinah Capital Group, Inc. Common StockBCG$1.810.04
+2.26%
$31.54M71.92K-15.83-0.12
GROW logoUS Global Investors IncGROW$2.660.04
+1.53%
$34.41M46.67K-66.38-0.04
AURE logoPrestige Wealth Inc. Class A Ordinary SharesAURE$0.550.03
+6.39%
$41.74M452.49K----
RMCO logoRoyalty Management Holding Corporation Class A Common StockRMCO$3.120.14
+4.80%
$44.84M64.33K-304.50-0.01
HNNA logoHennessy Advisors, Inc.HNNA$9.520.19
+1.98%
$74.33M3.39K7.641.25
AMTD logoAMTD IDEA Group - ADRAMTD$1.110.03
+2.78%
$89.05M8.65K----
M
Mount Logan Capital Inc. Common StockMLCI
$7.650.18
+2.41%
$96.23M35.63K----
GECC logoGreat Elm Capital. Corp. Common StockGECC$7.680.08
+1.04%
$107.45M229.63K4.921.56
SAMG logoSilvercrest Asset Management Group Inc.SAMG$14.680.09
+0.60%
$124.16M15.87K16.720.88
OCCI logoOFS Credit Company, Inc. Common StockOCCI$4.960.08
+1.54%
$137.61M284.04K20.690.24
MRCC logoMonroe Capital CorporationMRCC$6.84-0.06
-0.80%
$149.50M70.69K76.670.09
BANX logoArrowMark Financial Corp. Common StockBANX$21.880.07
+0.30%
$155.55M12.37K----
WHG logoWESTWOOD HOLDINGS GROUP, INC.WHG$16.61-0.13
-0.75%
$156.65M2.74K39.640.42
S
Sound Point Meridian Capital, Inc.SPMC
$16.540.17
+1.04%
$335.70M58.89K11.651.42
VALU logoValue Line IncVALU$39.361.06
+2.77%
$369.26M6.26K17.372.26
GCMG logoGCM Grosvenor Inc. Class A Common StockGCMG$11.700.04
+0.33%
$622.94M591.51K78.030.15
NOAH logoNoah Holdings Limited - ADRNOAH$11.590.03
+0.27%
$762.77M66.68K10.291.12
ASST logoStrive, Inc. Class A Common StockASST$1.100.24
+27.86%
$857.07M246.66M----
PFLT logoPennantPark Floating Rate Capital Ltd.PFLT$9.070.13
+1.40%
$896.93M970.24K10.760.84
CNNE logoCannae Holdings, Inc. Common StockCNNE$18.720.23
+1.24%
$1.09B373.22K-2.79-6.70
VRTS logoVirtus Investment Partners, Inc.VRTS$166.55-10.89
-6.14%
$1.12B96.93K8.1020.54
CSWC logoCapital Southwest CorpCSWC$20.680.08
+0.39%
$1.15B357.72K12.581.65
PSEC logoProspect Capital CorporationPSEC$2.73-0.01
-0.18%
$1.28B3.05M-2.05-1.34
SII logoSprott Inc.SII$82.060.65
+0.80%
$2.12B76.56K42.541.93
PAX logoPatria Investments Limited Class A Common SharesPAX$14.720.13
+0.93%
$2.36B345.04K26.400.56
APAM logoARTISAN PARTNERS ASSET MANAGEMENT INC.APAM$43.550.27
+0.62%
$3.07B342.30K11.583.76
CNS logoCohen & Steers Inc.CNS$71.390.68
+0.96%
$3.64B409.13K22.373.19
FHI logoFederated Hermes, Inc.FHI$48.13-2.08
-4.14%
$3.73B796.38K10.674.51
VCTR logoVictory Capital Holdings, Inc. Class A Common StockVCTR$63.560.37
+0.59%
$4.23B230.66K15.644.05
AB logoAllianceBernstein Holding, L.P.AB$39.560.25
+0.64%
$4.38B110.24K11.773.37
AVAL logoGRUPO AVAL ACCIONES Y VALORES S.A.AVAL$4.060.09
+2.34%
$4.85B57.16K13.180.31
HLNE logoHamilton Lane Incorporated Class A Common StockHLNE$118.73-0.19
-0.16%
$5.20B187.35K22.805.20
JHG logoJanus Henderson Group plc Ordinary SharesJHG$41.620.49
+1.20%
$6.49B1.27M15.652.66
AMG logoAffiliated Managers GroupAMG$240.351.40
+0.59%
$6.83B191.93K17.5513.70
TPG logoTPG Inc. Class A Common StockTPG$56.440.61
+1.10%
$8.24B1.33M-293.76-0.19
SEIC logoSEI Investments CoSEIC$81.900.37
+0.45%
$10.14B784.64K15.395.33
IVZ logoInvesco LTDIVZ$23.000.32
+1.42%
$10.36B23.59M24.970.93
OWL logoBlue Owl Capital Inc.OWL$16.660.36
+2.18%
$10.83B12.13M184.890.09
BEN logoFranklin Resources, Inc.BEN$22.840.16
+0.73%
$11.87B3.97M44.820.51
CG logoThe Carlyle Group Inc. Common StockCG$58.490.94
+1.64%
$21.14B2.06M17.093.42
TROW logoT Rowe Price Group IncTROW$103.561.07
+1.04%
$22.75B1.05M11.578.95
ARES logoAres Management Corporation Class A Common StockARES$149.380.95
+0.64%
$32.78B1.76M86.341.73
MSCI logoMSCI, Inc.MSCI$542.583.83
+0.71%
$41.95B394.37K35.9115.10
AMP logoAmeriprise Financial, Inc.AMP$479.010.86
+0.18%
$45.17B309.75K14.9132.14
APO logoApollo Global Management, Inc.APO$124.991.94
+1.58%
$71.76B2.45M23.455.35
KKR logoKKR & Co. Inc.KKR$121.220.26
+0.22%
$108.47B3.75M56.632.15
BLK logoBlackrock, Inc.BLK$1138.1213.12
+1.17%
$175.38B560.69K29.0838.89
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