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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
1305071248341RCFS3OIL8.PLBRENT CRUDE OIL FUTURE FAKTOR SHORTXWAR0.00%+594+1109+3374+4116+5783+9009
1230381169791INTSDAX75952.PLINTSDAX75952XWAR0.00%+609+1143+3519+4332+6175+9696
13812413361613769.NSCHRODER ISF GREATER CHINA A ACC0.00%+567+1020+3041+3585+4716+6738
1385801342521EBDAXTL110.HUEBDAXTL110XBUD0.00%+434+1029+2931+3566+4625+6286
13858813424414403.NALLIANZ UFK FRANKLIN NATURAL RESOURCES FUND PLN HEDGED0.00%+554+905+3075+3427+4426+6614
13858913425214536.JPSANTEN PHARMACEUTICALXJPX0.00%+554+905+3075+3427+4424+6583
13859713426115446.JPHOKUETSU METALXJPX0.00%+554+905+3045+3396+4429+6588
13881113448714743.NCOMPENSA UFK NN GLOBALNY DŁUGU KORPORACYJNEGO0.00%+553+1008+2958+3475+4541+6415
13907713481217749.JPMEDIKITXJPX0.00%+547+975+2917+3425+4483+6328
1391491348931603258.CNHANGZHOU ELECTRONIC SOULXSHG0.00%+546+972+2910+3416+4473+6313
13948213530614573.NUNIQA FIDELITY AMERICA0.00%+535+950+2928+3382+4309+6243
13950013529313603.NSCHRODER ISF EU DIV MAXIMISER A1 DIS0.00%+534+948+2945+3369+4359+6304
13950113529313639.JPVOLTAGE INCORPORATIONXJPX0.00%+534+948+2945+3369+4356+6300
1395511354011EBHENHUBS88.HUEBHENHUBS88XBUD0.00%+529+946+2843+3332+4361+6155
13984313590010RP4.UKITALMOBILIARE SPAAIMX0.00%+372+779+2725+3218+4134+5960
14189713804810O2B.UKMOLTIPLY GROUP SPAAIMX0.00%+587+978+2745+3176+4009+5618
1164371099801C6F.DEFCBRAINXFRA0.00%+277+843+3731+4658+6238+11181
13352112819616467.JPNICHIDAIXJPX0.00%+582+1072+3264+3957+5426+8385
1337541284131SOXX_PE.USISHARES SEMICONDUCTOR ETF P/E0.00%+625+1116+3253+3819+5443+8416
13380912843510DJV.UKALTRI SGPSAIMX0.00%+456+1076+3207+3967+5499+8474
1350641299201EBMOLTL47.HUEBMOLTL47XBUD0.00%+583+1064+3204+3847+5274+8020
1352981302811PQW.DEFPACIFIC RIDGE EXPLORATIONXFRA0.00%+556+1030+3190+3759+5265+7776
1363071310741NPSA.DEFNIPPON STEEL ADRXFRA0.00%+665+1157+3294+4150+5434+7904
1320031263280P0001EXJA.DEFERES CARMIGNAC MULTISTRATEGIES OBLIGATAIRES MXFRA0.00%+535+1040+3310+4057+5901+9069
1320041263290P0001F2AA.DEFDMC FUND WORLD HY CORPORATE BONDS CLASS I EUR HEDGEDXFRA0.00%+535+1040+3310+4057+5901+9069
1320051263300P0001F4LO.DEFALLIANZ GLOBAL INVESTORS FUND ALLIANZ GERMAN SMALL AND MICROXFRA0.00%+535+1040+3310+4057+5901+9069
1320061263310P0001F6A7.DEFCS FUND 1 CREDIT SUISSE CH INTEREST AMP; DIVIDEND FOCUS GROWTHXFRA0.00%+535+1040+3310+4057+5901+9069
1320071263320P0001F6TO.DEFING PRIVATE BANKING OPTIMAL SELECTION PURE EQUITY BXFRA0.00%+535+1040+3310+4057+5901+9069
1320081263330P0001F93Z.DEFMGI EMERGING MARKET DEBT FUND CLASS B15 EURXFRA0.00%+535+1040+3310+4057+5901+9069
1320091263340P0001FA8T.DEFSCHRODER INT SELECTION FUND EUROPEAN SUSTAINABLE EQUITY AXFRA0.00%+535+1040+3310+4057+5901+9069
1320101263350P0001FAHS.DEFLOMBARD ODIER SELECTION THE SOVEREIGN BOND FUND EUR NDXFRA0.00%+535+1040+3310+4057+5901+9069
1320111263360P0001FC37.DEFSCHRODER EURO BOND FAM FUND CLASS I EUR ACCXFRA0.00%+535+1040+3310+4057+5901+9069
1320121263370P0001FF3U.DEFBNP PARIBAS FLEXI EUROPE MODERE IXFRA0.00%+535+1040+3310+4057+5901+9069
1320131263380P0001FGB3.DEFAGAVE FIXFRA0.00%+535+1040+3310+4057+5901+9069
1320141263390P0001FID4.DEFWELLINGTON GLOBAL HEALTH CARE EQUITY FUND EUR CLASS DXFRA0.00%+535+1040+3310+4057+5901+9069
1320151263400P0001FUHM.DEFMERCER SHORT DURATION GLOBAL BOND FUND 1 A8 0 1700 EUR HEDGEDXFRA0.00%+535+1040+3310+4057+5901+9069
1320161263410P0001GY6S.DEFLOMBARD ODIER FUNDS EVENT CONVEXITY EUR MD SYS NAV HEDGEDXFRA0.00%+535+1040+3310+4057+5901+9069
1320171263420P0001GZ1R.DEFNORDEA 1 GLOBAL GENDER DIVERSITY FUND BP EURXFRA0.00%+535+1040+3310+4057+5901+9069
1320181263340P0001H07S.DEFMULTICOOPERATION SICAV JULIUS BAER GLOBAL EXCELLENCE EQUITYXFRA0.00%+535+1040+3382+4106+5901+9069
1320191263050P0001H0T5.DEFBESTINVER PLAN PATRIMONIO PPXFRA0.00%+535+1274+3464+4106+5901+9069
1320201263060P0001H0TE.DEFNATIXIS INT FUNDS LUX I THEMATICS AI AND ROBOTICS FUND R A EURXFRA0.00%+535+1274+3464+4106+5901+9069
1320211263600P0001AD0K.DEFBARINGS EMERGING MARKETS LOCAL DEBT FUND A EUR DISTRIBUTIONXFRA0.00%+535+1041+3359+4134+5828+9060
1320221263610P0001AH5N.DEFGOLDMAN SACHS EMERGING MARKETS DEBT BLEND PORTFOLIO I ACC EURXFRA0.00%+535+1041+3359+4134+5828+9060
1320231263620P0001AJWB.DEFM AMP;G LUX EMERGING MARKETS HARD CURRENCY BOND FUND AH EURXFRA0.00%+535+1041+3359+4134+5828+9060
1320241263630P0001ALRH.DEFWHITE FLEET II CENTRICA GLOBAL BOND FUND I EURXFRA0.00%+535+1041+3359+4134+5828+9060
1320251263640P0001BC50.DEFEB SHORT TERM BONDSXFRA0.00%+535+1041+3359+4134+5828+9060
1320261263650P0001BCB1.DEFJANUS HENDERSON CORE 3 INCOME FUND A ACC EUR HEDGEDXFRA0.00%+535+1041+3359+4134+5828+9060
1320271263660P0001BCB7.DEFJANUS HENDERSON CORE 5 INCOME FUND I ACC EUR HEDGEDXFRA0.00%+535+1041+3359+4134+5828+9060
1320281263670P0001BCBM.DEFBNP PARIBAS MOIS ISR MANDATXFRA0.00%+535+1041+3359+4134+5828+9060
1320291263680P0001BJCY.DEFPACIFIC MULTI ASSET ACCUMULATOR CORE FUND EUR INSTITUTIONALXFRA0.00%+535+1041+3359+4134+5828+9060
17601 - 17650 from 188245 | First | Previous 50 | Next 50 | Last


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