czw, 17 lip 2025, 2:42 CEST, NY 20:42, Londyn 1:42, Tokio 9:42, ^SPX +0.32%
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Ticker Rank (TR)Ticker Rank avg. 1M Favorites TickerMarketPrice change 1DTR change 1DTR change 3DTR change 5DTR change 10DTR change 20DTR change 30D
166298111660LSTA_PE.USLISATA THERAPEUTICS INC P/E0.00%+189+3112+32718+49047+65648+70800
166299111661ALG_PE.USALAMO GROUP INC P/E0.00%+189+3112+32718+49047+65648+70800
378751116610P00019VOE.DEFJPMORGAN INVESTMENT FUNDS GLOBAL DIVIDEND FUND D MTH EURXFRA0.00%+710+14037-121374-119560
388451116610P0001DBFN.DEFBNP PARIBAS FUNDS SUSTAINABLE EUROPE VALUE PRIVILEGEXFRA0.00%+710+15617-126994-113646
261211116610P0000AEZZ.DEFPHITRUST ACTIVE INVESTORS FRANCE AXFRA0.00%+986+14784-139913-139401
283121116610P00000CLM.DEFLABORAL KUTXA RENTA FIJA GARANTIZA XI FIXFRA0.00%+775+15546-142299-128971
327841116610P0000PYSB.DEFBLACKROCK INSTITUTIONAL CASH SERIES EURO GOVERNMENT LIQUIDITYXFRA0.00%+1041+15394-128663-129511
166267111662Q8K32.FALUMINIUM HIGH GRADE MAY 2032LME0.00%+189+3063+32668+48994+65678+70776
166300111662DBRG_PE.USDIGITALBRIDGE GROUP INC P/E0.00%+189+3112+32718+49047+65648+70800
1662681116630QF7.UKDEUTSCHE BETEILIGUNGSXLOM0.00%+189+3063+32668+48994+65678+70776
166301111663WGO_PE.USWINNEBAGO INDUSTRIES INC P/E0.00%+189+3112+32718+49047+65648+70800
263461116630P000010D0.DEFNORDEA KEHITTYVAT KORKOMARKKINAT K EURXFRA0.00%+778+15689-146757-130469
1662691116640QV7.UKKINEPOLISXLOM0.00%+189+3063+32668+48994+65678+70776
388461116640P0001DBHZ.DEFDWS INVEST LATIN AMERICAN EQUITIES FC50XFRA0.00%+710+15617-126996-113649
388851116640P0001E0PM.DEFRENTA 4 VALOR RELATIVO I FIXFRA0.00%+710+15617-127646-112654
283131116650P00000CM7.DEFCONCENTRA A EURXFRA0.00%+775+15546-142303-128975
166270111665NGQ30.FNATURAL GAS AUG 2030NYMEX0.00%+189+3063+32668+48994+65678+70776
166271111666PEOH215.PLPEOH215XWAR0.00%+189+3063+32668+48994+65678+70776
166302111666MIST_PB.USMILESTONE PHARMACEUTICALS INC P/BV0.00%+189+3111+32717+49046+65646+70798
441191116660P00017ICN.DEFREALE LINEA FUTUROXFRA0.00%+684+13909-115646-103772
166272111667HHQ25.FNATURAL GAS LDAY AUG 2025NYMEX0.00%+189+3063+32668+48994+65678+70776
166303111667SBS_PB.USCIA DE SANEAMENTO BASICO P/BV0.00%+189+3111+32717+49046+65646+70798
1662731116684366.NALLIANZ PORTFEL AKTYWNEJ ALOKACJI UFK0.00%+189+3063+32668+48994+65678+70776
280691116680P00000CW9.DEFDWS TOP EUROPE LDXFRA0.00%+775+15300-142601-129282
101531116690P00008OC7.DEFJPMORGAN INVESTMENT FUNDS EUROPE STRATEGIC DIVIDEND FUND C ACCXFRA0.00%+201-9839-155273-154524
325681116690P0000JMUS.DEFAMUNDI INDEX SOLUTIONS AMUNDI INDEX J P MORGAN GBI GLOBALXFRA0.00%+690+15465-131536-127781
16627411166911978.NBGF NATURAL RESOURCES GROWTH & INCOME FUND A2 USD0.00%+189+3063+32668+48994+65678+70775
166304111669ATMP_PE.USIPATH SELECT MLP ETN P/E0.00%+189+3111+32717+49046+65645+70797
166305111670MFA_C_PB.USMFA FINANCIAL P/BV0.00%+189+3111+32717+49046+65645+70797
166306111671CUBE_PE.USCUBESMART P/E0.00%+189+3111+32717+49046+65645+70797
388471116710P0001DBQJ.DEFSANTANDER RENTA FIJA PRIVADA M FIXFRA0.00%+710+15617-127006-113660
378761116720P00019W2Q.DEFCOBAS IBERIA C FIXFRA0.00%+710+14037-121390-119580
388861116720P0001E0WG.DEFOSSIAM MSCI JAPAN NR 1C EURXFRA0.00%+710+15617-127657-112667
390351116720P0001M7JP.DEFAMUNDI FUNDS PIONEER GLOBAL HIGH YIELD ESG IMPROVERS BOND E2XFRA0.00%+710+15713-125828-115656
166307111672TPH_MV.USTRI POINTE HOMES INC MARKET VALUE0.00%+189+3111+32717+49046+65645+70797
280701116720P00000CZ4.DEFJANUS HENDERSON CAPITAL FUNDS FLEXIBLE INCOME FUND CLASS I2XFRA0.00%+775+15300-142605-129287
367271116730P0001F3JR.DEFROBECO BP GLOBAL PREMIUM EQUITIES FAM FUND CLASS L EUR INCOMEXFRA0.00%+712+14210-130592-115946
166308111673HEPA_PB.USHEPION PHARMACEUTICALS INC P/BV0.00%+189+3111+32717+49046+65645+70797
166309111674SPCB_MV.USSUPERCOM LTD MARKET VALUE0.00%+189+3111+32717+49046+65645+70797
17379111674LQDH_MV.USISHARES INTEREST RATE MARKET VALUE0.00%+2119-153295-119716-105995-90775-82797
120371116740P0000Z2RR.DEFMEDIOLANUM MERCADOS EMERGENTES S B FIXFRA0.00%+297-29840-142962-144159
18055111675DPG_PB.USDUFF & PHELPS UTILITY AND INFRASTRUCTURE FUND P/BV0.00%+2186-150788-119363-104858-89227-83103
280051116750P00002AK1.DEFAMUNDI SERENITE PEA IDXFRA0.00%+1120+14493-136804-135737
115091116750P0000GHDP.DEFTHREADNEEDLE LUX PAN EUROPEAN ESG EQUITIES IE EURXFRA0.00%+290-18424-151711-147680
18056111676FXU_PE.USFIRST TRUST P/E0.00%+2186-150788-119363-104858-89227-83103
280711116760P00000D0O.DEFBL GLOBAL 30 A EURXFRA0.00%+775+15300-142613-129293
449231116780P0001BRM8.DEF1ST SICAV ITALY CLASS I EUR ACCUMULATIONXFRA0.00%+663+13915-115767-104621
280721116790P00000D13.DEFRURAL RENTA FIJA 3 ESTANDAR FIXFRA0.00%+775+15300-142615-129295
280061116800P00002AO9.DEFMATIGNON TCXFRA0.00%+1120+14493-136810-135747
280731116800P00000D17.DEFRURAL RENTA FIJA 5 ESTANDAR FIXFRA0.00%+775+15300-142615-129295
157951 - 158000 from 183461 | First | Previous 50 | Next 50 | Last


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