pon, 9 mar 2026, 7:08 CET, NY 2:08, Londyn 6:08, Tokio 15:08, ^SPX -1.33%
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Ticker Rank (TR)Ticker Rank avg. 1MFavorites TickerMarketPrice change 1DTR change 1DTR change 3DTR change 5DTR change 10DTR change 20DTR change 30D
569796334918TE.DEFCANNABIS POLANDXFRA0.00%+1379+2507+5115+6751+16487-62467
3217383634ROPE.USCOASTAL COMPASS 100 ETFXNYS0.00%+4657+10266-32289-72336-68879-62462
2474893709H7C.DEFSTAR HOLDINGSXFRA0.00%-75385-75212-74061-73451-69468-62448
46466804300P0001BVV1.DEFAB CONCENTRATED US EQUITY PORTFOLIO S1 EUR ACCXFRA0.00%+2045+3752+7780+10600-67840-62440
54488632990P0001D53K.DEFNATIXIS INT FUNDS LUX I LOOMIS SAYLES U S GROWTH EQUITY FUND HXFRA0.00%+1557+2889+5640+7505+19321-62430
54485632810P00016P9S.DEFUBS LUX BOND FUND FULL CYCLE ASIAN BOND USD EUR HEDGED Q ACCXFRA0.00%+1557+2889+5640+7505+19329-62405
4910875969DOQ.DEFDOXFRA0.00%+1820+3279+6879+9266-67644-62384
1969155476IB27.DEISHARES IBONDS DEC 2027 TERM EUR CORPORATE ETF EUR ACCXETR0.00%+4283-4441+4110+9249-69810-62380
58165610749249.JPJAPAN ECOSYSTEMXJPX0.00%+1376+2341+4966+6501+15747-62376
2838448149SVCCW.USSTELLAR V CAPITAL CORPXNAS0.00%+6021-24378-21470-19729-8920-62366
5538060804RBIWP0426KGH.PLRBIWP0426KGHXWAR0.00%+1592+2588+5517+7244+18058-62359
346733061725628.HKBIUBTEC@EC2610AXHKG0.00%+3527+8062+3896+7983-756-62357
4232286689ADME.UKADM ENERGY PLCXLON0.00%+2289+4492+9941+13863-68031-62346
4616150068M5C.DEFMCPHERSONSXFRA0.00%+2041+3786+8031+10922+19931-62311
5067257592J0E.DEFSOLSTICE MINERALSXFRA0.00%+1767+3158+6548+8751+25899-62308
4694570007JUS.DEFAEON ADRXFRA0.00%+1981+3657+7718+10461-22802-62295
4279879649DI7J.DEFALLIANZ FLEXI RENTENFONDSXFRA0.00%+2377+4421+9776+13609-67925-62273
2328757281S6L.DEFSHENZHOU INT GROUP HOLDINGSXFRA0.00%-6216-1241+725-1591-69462-62265
543436347922558.HKUBPOMRT@EP2607AXHKG0.00%+1635+2646+5573+7455+19138-62254
3679487778DTCR_PE.USGLOBAL X DATA CENTER P/E0.00%+3148+6801-29515-71514-68252-62231
4224686516SCO_MV.USPROSHARES ULTRASHORT BLOOMBERG MARKET VALUE0.00%+2276+4489+9842+13775-67761-62228
20310549553108.NJPM PACIFIC EQ D ACC EUR0.00%+4400-28797-25618-23564-9287-62215
467848070022388.HKUBKUASO@EC2610AXHKG0.00%+1987+3585+7728+10497-67640-62205
4029369668HTWD.UKHSBC MSCI TAIWAN CAPPED ETFXLON0.00%+2588+5025+12018+16842-68016-62203
491607590324819.JPDIGITAL GARAGEXJPX0.00%+1833+3352+6997+9304-67459-62192
52363686560P00017NM2.DEFERASMUS CAPITAL PLUS IXFRA0.00%+1597+2934+6122+8099+21947-62187
3322945563FRHYG.DEFRHYGXETR0.00%+3956+8997+15613+9603+16224-62180
50509659100P0001ON56.UKFP MATTIOLI WOODS FUNDS ICVC FP MATTIOLI WOODS PASSIVEXLON0.00%+1731+3147+6541+8766+25924-62179
40722884350P00014KW2.DEFSPARINVEST SICAV BALANCEXFRA0.00%+2520+4859+11310-28245-67956-62176
5281369398RSVR_PE.USRESERVOIR MEDIA INC P/E0.00%+1626+2804+5896+7889+20927-62176
501467724049781.HKMS#S P RC2603AXHKG0.00%+1728+3147+6592+8812-67381-62173
1456466394FRW_PBFROZENWAY P/BV0.00%+5169+9495-32700-74031-69525-62167
48888515990P00000NZ7.DEFFEDERAL INDICIEL US PXFRA0.00%+1853+3355+7007+9409+25113-62153
505246589820148.HKMBSENTM@EP2605AXHKG0.00%+1731+3148+6544+8759+25985-62148
3697596560EFH.UKDNB OBX ETFXLON0.00%-18187-13166-28530-50640-70684-62147
221379071868629.HKUB#HSBC RC2804DXHKG0.00%-75601-75205-74036-73267-69274-62144
505226589319459.HKBPTENCT@EP2605AXHKG0.00%+1731+3148+6544+8759+25985-62139
4728481268AVK1.DEFAEON STORES HONG KONGXFRA0.00%+1952+3586+7470+10116-67495-62138
5536960741OESX_MV.USORION ENERGY SYSTEMS INC MARKET VALUE0.00%+1603+2567+5488+7239+18063-62133
29791609715257.JPNOVA SYSTEMXJPX0.00%-24669-23575-20846-19103-8669-62132
56466581950P0001L889.UKTM P1 INVESTMENT FUNDS TM P1 SUSTAINABLE WORLD FUND CLASS AXLON0.00%+1458+2756+5340+7049+17308-62122
44127554789881.HKRONGTA TECHXHKG0.00%+2186+4139+8929+12312+3629-62110
44869780330P0001HOIP.DEFBLACKROCK GLOBAL FUNDS FIXED INCOME GLOBAL OPPORTUNITIES FUNDXFRA0.00%+2176+4043+8648+11836-67322-62104
4077088416LOOP_PB.USLOOP INDUSTRIES INC P/BV0.00%+2477+4795+11461-28136-67885-62102
4686576726PTON_PE.USPELOTON INTERACTIVE INC P/E0.00%+2008+3702+7715+10466-67491-62091
5124162718603196.CNRIBO FASHION GROUPXSHG0.00%+1729+3087+6399+8537+24314-62091
50552659200P0001MOYJ.DEFINVESCO PAN EUROPEAN HIGH INCOME FAM FUND CLASS E EUR ACCXFRA0.00%+1732+3184+6544+8779+25965-62076
2430056027SUAG.UKISHARES US AGGREGATE BOND ETFXLON0.00%-17873-15944-11224-7903-21076-62075
51433671983HIM.UKLEVERAGE SHARES 3X LONGXLON0.00%+1729+3079+6371+8440+23810-62060
170865481811909.HKFIRE ROCKXHKG0.00%+3463+3061+10410+12760-69648-62055
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