sob, 17 sty 2026, 7:43 CET, NY 1:43, Londyn 6:43, Tokio 15:43, ^SPX -0.06%
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106601 - 106650 from 187526 | First | Previous 50 | Next 50 | Last
Ticker Rank (TR)Ticker Rank avg. 1MFavorites TickerMarketPrice change 1DTR change 1DTR change 3DTR change 5DTR change 10DTR change 20DTR change 30D
106601718573878.HKVICON HOLDINGSXHKG0.00%+306+1743+4174+5474+52552+34248
10660274530BEN_PB.USFRANKLIN RESOURCES INC P/BV0.00%+306+1742+4178+5474+52551+34196
10660371814FEM_PEFEMTECH P/E0.00%+306+1740+4173+5471+52546+34417
106604744010P000156V7.DEFINITIATIVE EQUILIBRE DXFRA0.00%+306+1737+4170+5469+52543+34517
106605718300CUN.UKTCM GROUPXLON0.00%+306+1743+4176+5472+52549+34074
106606718091576.HKQILU EXPRESSWAYXHKG0.00%+306+1742+4175+5472+52551+34251
106607718181845.HKWG ENV TECHXHKG0.00%+306+1742+4175+5472+52551+34227
106608744731875.HKBIODLINK BXHKG0.00%+306+1742+4175+5472+52551+34227
10660974488NXG0.DEFNEXT ADRXFRA0.00%+306+1748+4181+5475+52554+34200
106610719180P0000WF1A.DEFDWS INSTITUTIONAL ESG EURO MONEY MARKET ID BAXFRA0.00%+306+1742+4175+5472+52547+34019
1066117197711224.NJPM ASEAN EQ A DIST USD0.00%+306+1742+4175+5472+52547+33870
106612747140P0001BLZ8.DEFDUOPLUS VXFRA0.00%+306+1742+4175+5470+52545+33738
106613720340P0000W8PS.DEFNOMURA FUNDS IRELAND JAPAN STRATEGIC VALUE FUND CLASS I EURXFRA0.00%+306+1741+4174+5471+52547+33723
106614720370P00000E7U.DEFIBERCAJA TECNOLOGICO A FIXFRA0.00%+306+1741+4174+5471+52547+33741
106615720840P0001IDBD.DEFALLIANZ DEFENSIVE MIX FCP FIS WT EUR CAPXFRA0.00%+306+1740+4172+5468+52543+33599
1066167208545P.DEFPLAYMATES TOYSXFRA0.00%+306+1742+4173+5469+52544+33599
106617721231FVE_MVFOTOVOLT MARKET VALUE0.00%+306+1741+4173+5469+52542+33497
106618722280FQ8.UKPHAROL SGPSXLON0.00%+306+1741+4173+5469+52539+33190
10661974933OXD.DEFOXFORD INDUSTRIESXFRA0.00%+306+1741+4173+5469+52538+33146
10662072320FOFD.DEFRANKLIN FUTURE OF FOOD ETFXETR0.00%+306+1740+4172+5468+52537+32913
1066217232810095.HKJPUSYEN@EC2605AXHKG0.00%+306+1739+4171+5467+52536+32900
106622750210P0001BT7I.DEFCANDRIAM L BALANCED ASSET ALLOCATION R2EURXFRA0.00%+306+1741+4172+5468+52538+32899
10662372453VYGR_PE.USVOYAGER THERAPEUTICS INC P/E0.00%+306+1740+4171+5467+52531+32553
10662472461TIDG.UKTAB INDIA BOND SHORT DURATION FUNDXLON0.00%+306+1740+4171+5467+52531+32533
10662572520LIMI_PB.USTHEMES LITHIUM P/BV0.00%+306+1740+4171+5467+52527+32365
106626725229EV.DEFEVOLVE EDUCATION GROUPXFRA0.00%+306+1740+4171+5467+52527+32363
106627753123MRN.DELEVERAGED SHARES 3X LONG MODERNA MFXETR0.00%+306+1740+4171+5467+52522+32145
10662872607CLOX.UKINVESCO EUR AAA CLO ETF GBP HEDGED ACCUMULATINGXLON0.00%+306+1740+4170+5466+52521+32114
106629726080P00006C0P.DEFPICTET EUROLAND INDEX R EURXFRA0.00%+306+1740+4170+5466+52521+32112
10663075462O0E.DEFBLAST RESOURCESXFRA0.00%+306+1740+4170+5466+52520+31739
10663172739688220.CNASR MICROELECTRONICSXSHG0.00%+306+1739+4169+5465+52519+31719
1066327273622254.NFIDELITY GLOBAL STRATEGIC BOND A ACC EUR HEDGED0.00%+306+1741+4170+5466+52521+31728
1066337275363422.HKUB#CLIFERC2604BXHKG0.00%+306+1740+4170+5466+52520+31657
106634727511WIG_ENERG_PBWIG-ENERG P/BV0.00%+306+1740+4170+5466+52520+31709
106635727800RQJ.UKSANIONA ABXLON0.00%+306+1740+4170+5466+52520+31605
106636728341TRBNGR.MGR TRADE BALANCE0.000000+306+1740+4170+5466+52518+31453
10663772852LI_PE.USLI AUTO INC P/E0.00%+306+1740+4170+5466+52518+31404
10663872855DFEV_PE.USDIMENSIONAL EMERGING MARKETS VALUE ETF P/E0.00%+306+1740+4170+5466+52518+31399
106639729285103.NEUROPA UFK GENERALI AKCJE WZROSTU0.00%+306+1740+4170+5465+52515+31185
10664075675WVDA.DEFMARSTONSXFRA0.00%+306+1740+4170+5466+52517+31192
10664175735MD0.DEFHALMONT PROPERTIESXFRA0.00%+306+1740+4170+5465+52512+31031
10664275736MIY_PB.USBLACKROCK MUNIYIELD MICHIGAN QUALITY FUND P/BV0.00%+306+1740+4170+5465+52512+31031
106643730200P00019UBV.DEFCAIXABANK GARANTIZADO EURIBOR II FIXFRA0.00%+306+1738+4169+5464+52511+30991
106644729515730.DEFTRENCHANT TECHNOLOGIES CAPITALXFRA0.00%+306+1741+4170+5468+52517+31128
106645757502224.NFIDELITY EMERGING MARKET DEBT E ACC EUR0.00%+306+1741+4170+5468+52519+30993
106646732040P0000VJR1.DEFISHARES UK IF IE INSTITUTIONAL ACC EURXFRA0.00%+306+1739+4168+5464+52508+30406
106647760770P0000UQRA.DEFJPMORGAN INVESTMENT FUNDS GLOBAL INCOME FUND X DIV EURXFRA0.00%+306+1738+4167+5463+52504+30082
10664873323GOAU_MV.USUS GLOBAL GO GOLD & MARKET VALUE0.00%+306+1738+4167+5463+52503+30047
106649733250P0000ZP3Y.DEFFIDELITY FUNDS SUSTAINABLE ASIA EQUITY FUND Y DIST EURXFRA0.00%+306+1738+4167+5463+52503+30046
106650734110A4Y.UKAIM IMMUNOTECHXLON0.00%+306+1738+4167+5463+52500+29815
106601 - 106650 from 187526 | First | Previous 50 | Next 50 | Last


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