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Finanziario - Gestione degli investimenti Azioni del Settore

  • Capitalizzazione

    591.03B
  • Azioni

    48
Sponsorizzato
Panoramica
Performance
BLK logoBlackrock, Inc.BLK$1093.7312.45
+1.15%
$163.65B567.71K21.9535.42
KKR logoKKR & Co. Inc.KKR$101.16-0.48
-0.47%
$88.40B6.75M22.902.34
APO logoApollo Global Management, Inc.APO$119.691.35
+1.14%
$73.18B6.30M17.616.84
AMP logoAmeriprise Financial, Inc.AMP$471.39-1.04
-0.22%
$49.71B538.14K13.5936.36
MSCI logoMSCI, Inc.MSCI$544.243.12
+0.58%
$42.52B603.31K32.7115.69
ARES logoAres Management Corporation Class A Common StockARES$123.29-6.56
-5.05%
$39.84B5.81M25.601.69
TPG logoTPG Inc. Class A Common StockTPG$44.55-0.03
-0.08%
$20.24B11.96M22.220.44
TROW logoT Rowe Price Group IncTROW$95.361.00
+1.06%
$20.08B1.33M9.479.25
CG logoThe Carlyle Group Inc. Common StockCG$53.240.26
+0.49%
$19.97B3.74M14.031.79
OWL logoBlue Owl Capital Inc.OWL$10.81-0.77
-6.64%
$18.14B58.05M13.850.10
BEN logoFranklin Resources, Inc.BEN$27.660.43
+1.56%
$14.01B4.88M11.551.08
IVZ logoInvesco LTDIVZ$26.440.08
+0.32%
$11.47B4.74M12.69-1.60
SEIC logoSEI Investments CoSEIC$81.330.76
+0.94%
$10.34B574.52K14.995.63
AMG logoAffiliated Managers GroupAMG$287.22-35.01
-10.86%
$8.48B988.51K12.9916.79
JHG logoJanus Henderson Group plc Ordinary SharesJHG$50.181.14
+2.32%
$7.44B4.48M10.065.26
HLNE logoHamilton Lane Incorporated Class A Common StockHLNE$106.92-6.08
-5.38%
$7.35B1.59M23.485.57
AVAL logoGRUPO AVAL ACCIONES Y VALORES S.A.AVAL$4.470.06
+1.45%
$5.34B57.68K13.640.33
VCTR logoVictory Capital Holdings, Inc. Class A Common StockVCTR$75.58-0.40
-0.53%
$4.51B615.19K11.134.07
FHI logoFederated Hermes, Inc.FHI$55.861.05
+1.92%
$4.06B885.04K10.495.14
AB logoAllianceBernstein Holding, L.P.AB$39.71-1.13
-2.77%
$3.85B291.66K12.533.00
APAM logoARTISAN PARTNERS ASSET MANAGEMENT INC.APAM$41.60-0.23
-0.55%
$3.58B606.17K11.254.01
CNS logoCohen & Steers Inc.CNS$67.110.27
+0.41%
$3.17B251.98K20.022.98
SII logoSprott Inc.SII$144.1513.36
+10.22%
$2.95B495.06K58.721.95
DBRG logoDigitalBridge Group, Inc.DBRG$15.40-0.01
-0.03%
$2.82B3.64M57.150.06
GCMG logoGCM Grosvenor Inc. Class A Common StockGCMG$11.710.06
+0.56%
$1.92B662.59K15.970.28
CSWC logoCapital Southwest CorpCSWC$22.77-0.11
-0.49%
$1.38B618.93K9.831.81
PSEC logoProspect Capital CorporationPSEC$2.83-0.09
-3.25%
$1.24B7.57M3.60-0.86
VRTS logoVirtus Investment Partners, Inc.VRTS$147.100.62
+0.42%
$1.02B99.28K5.7719.48
PFLT logoPennantPark Floating Rate Capital Ltd.PFLT$8.45-0.10
-1.18%
$925.70M2.16M8.180.73
PAX logoPatria Investments Limited Class A Common SharesPAX$13.98-0.02
-0.11%
$914.69M1.09M10.830.53
NOAH logoNoah Holdings Limited - ADRNOAH$12.040.02
+0.15%
$755.00M61.17K7.931.29
CNNE logoCannae Holdings, Inc. Common StockCNNE$13.20-0.24
-1.80%
$698.87M383.89K---7.73
ASST logoStrive, Inc. Class A Common StockASST$8.150.03
+0.32%
$440.96M2.95M----
VALU logoValue Line IncVALU$36.990.29
+0.80%
$348.08M6.84K16.402.26
S
Sound Point Meridian Capital, Inc.SPMC
$10.20-0.15
-1.42%
$269.94M19.38K5.600.20
SAMG logoSilvercrest Asset Management Group Inc.SAMG$15.390.12
+0.75%
$181.86M15.92K16.330.71
WHG logoWESTWOOD HOLDINGS GROUP, INC.WHG$16.63-0.32
-1.91%
$169.35M5.69K14.750.82
BANX logoArrowMark Financial Corp. Common StockBANX$19.910.11
+0.56%
$145.04M88.24K----
MRCC logoMonroe Capital CorporationMRCC$6.200.03
+0.52%
$133.68M101.82K8.57-0.19
GECC logoGreat Elm Capital. Corp. Common StockGECC$6.48-0.11
-1.67%
$92.11M31.36K5.02-0.56
M
Mount Logan Capital Inc. Common StockMLCI
$5.14-0.27
-4.94%
$88.61M86.08K----
AMTD logoAMTD IDEA Group - ADRAMTD$1.010.00
+0.50%
$80.59M22.64K----
HNNA logoHennessy Advisors, Inc.HNNA$9.950.00
+0.04%
$76.55M7.76K8.511.14
FGNX logoFG Nexus Inc. Common StockFGNX$7.55-0.08
-1.05%
$70.44M57.87K----
OCCI logoOFS Credit Company, Inc. Common StockOCCI$3.19-0.02
-0.78%
$68.51M210.51K3.25-0.37
RMCO logoRoyalty Management Holding Corporation Class A Common StockRMCO$3.95-0.02
-0.50%
$61.32M7.34K---0.01
GROW logoUS Global Investors IncGROW$3.270.10
+3.28%
$39.66M11.02K51.000.06
BCG logoBinah Capital Group, Inc. Common StockBCG$2.420.13
+5.46%
$37.69M2.93K75.670.03
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