pon, 15 gru 2025, 0:13 CET, NY 18:13, Londyn 23:13, Tokio 8:13, ^SPX -1.07%
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Ticker Rank - Lista aktywności walorów
Statystyki sesji | Ticker Rank
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AQ
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101201 - 101250 z 188220 | Pierwsza | Poprzednie 50 | Następne 50 | Ostatnia
Ticker Rank (TR)Ticker Rank śr. 1MUlubione WalorRynekZmiana ceny 1DZmiana TR 1DZmiana TR 3D Zmiana TR 5DZmiana TR 10DZmiana TR 20DZmiana TR 30D
1143751068870P0001A36E.DEFNEF ETHICAL BALANCED CONSERVATIVE RXFRA0.00%+1279+2137+4648+5395+7582+10768
1143761068880P0001A3W8.DEFCANDRIAM SUSTAINABLE EQUITY EMERGING MARKETS C EURXFRA0.00%+1279+2137+4648+5395+7582+10768
1143771068890P0001A4N1.DEFRBC FUNDS LUX EMERGING MARKETS EQUITY FUND A EUR HEDGED ACCXFRA0.00%+1279+2137+4648+5395+7582+10768
175319544332396.NFTI 0625 FRANKLIN U.S. OPR FUND N ACC USD0.00%+6283+2138+1852-49592-103966-102328
1787712027RSLMUS.MUS RETAIL SALES LESS AUTOS M/M0.0+3748+2138+4791+7289+8832+2716
1787810698M3SYNO.MNO M3 MONEY SUPPLY Y/Y0.0+3747+2138+4791+7288+8762+10624
4490315414710YGRY.BGREECE 10Y BOND YIELDBonds0.00%+1045+2138+2216+2128+1726+1236
4631323816CX.USCEMEX SAB DE CVXNYS0.00%+1875+2138+1437+999+555+751
8580075918LTRX_PE.USLANTRONIX INC P/E0.00%+1529+2138+5624+6384+9972+14882
8580175908LWAY_PB.USLIFEWAY FOODS INC P/BV0.00%+1529+2138+5624+6384+9988+14898
8580275938LXU_PB.USLSB INDUSTRIES INC P/BV0.00%+1529+2138+5624+6384+9946+14855
8580375806MAXN_PB.USMAXEON SOLAR TECHNOLOGIES LTD P/BV0.00%+1529+2138+5624+6384+10126+15023
8580475879MCW_PB.USMISTER CAR WASH INC P/BV0.00%+1529+2138+5624+6384+10029+14923
8580575878MDV_PE.USMODIV INDUSTRIAL INC P/E0.00%+1529+2138+5624+6384+10032+14926
8580675913MESO_PB.USMESOBLAST LTD P/BV0.00%+1529+2138+5624+6384+9988+14898
91658829100P0001H22R.DEFMORGAN STANLEY LIQUIDITY FUNDS EURO LIQUIDITY FUND QUALIFIEDXFRA0.00%+1423+2138+5136+5859+8768+13079
91659829110P0001H2AR.DEFMAINFIRST GLOBAL EQUITIES UNCONSTRAINED BXFRA0.00%+1423+2138+5136+5859+8768+13079
91660829120P0001H6PW.DEFRAIFFEISEN NACHHALTIGKEIT SOLIDE RZ VTAXFRA0.00%+1423+2138+5136+5859+8768+13079
91661829140P0001HEXO.DEFPM 2 R3XFRA0.00%+1423+2138+5136+5859+8768+13079
91662829280P0001HV3J.DEFAMUNDI FUNDS EMERGING MARKETS LOCAL CURRENCY BOND F2 EUR HGD CXFRA0.00%+1423+2138+5136+5859+8746+13056
91663829290P0001HXHF.DEFLAFFITTE FUNDS LAFFITTE ESG DIVIDEND EUR IXFRA0.00%+1423+2138+5136+5859+8746+13056
91664829300P0001HXUV.DEFETHIK MIX AUSGEWOGEN IT TXFRA0.00%+1423+2138+5136+5859+8746+13056
91665829310P0001HZIS.DEFMONTLAKE DUNN WMA INSTITUTIONAL FUND USD INSTITUTIONAL CLASS DXFRA0.00%+1423+2138+5136+5859+8746+13056
91666829320P0001I60A.DEFUNIINSTITUTIONAL GLOBAL CORPORATE BONDS LXFRA0.00%+1423+2138+5136+5859+8746+13056
91786829927MP.DEFMGXFRA0.00%+1423+2138+5151+5892+8837+13116
91787829937XO.DEFLIFT GLOBAL VENTURESXFRA0.00%+1423+2138+5151+5892+8837+13116
91851830480P00000RRH.DEFMEDIOLANUM BEST BRANDS EUROPEAN COLLECTION L ACCXFRA0.00%+1424+2138+5149+5889+8880+13100
91852830490P0000124J.DEFRUSSELL INVESTMENT II RUSSELL INVESTMENTS EURO FIXED INCOMEXFRA0.00%+1424+2138+5149+5889+8880+13100
91897831210P000017AX.DEFDEKA INSTITUTIONELL RENTEN EUROPAXFRA0.00%+1424+2138+5150+5890+8805+13076
91923831472TK.DEFELEDON PHARMACEUTICALSXFRA0.00%+1424+2138+5148+5889+8816+13086
91924831438C4.DEFCYBERDYNEXFRA0.00%+1424+2138+5148+5889+8822+13093
9192783152PWRD_MV.USTCW TRANSFORM SYSTEMS ETF MARKET VALUE0.00%+1424+2138+5147+5888+8816+13083
9192883155TMV_PE.USDIREXION DAILY 20Y PLUS TREASURY BEAR 3X SHARES P/E0.00%+1424+2138+5147+5888+8816+13079
9192983156INTLBND66837.PL10-YEAR GERMAN GOVERNMENT BOND FUTURE CERTYFIKATY LONG 125.9XWAR0.00%+1424+2138+5146+5887+8815+13079
9193083156FJNHD.DEMUL AM MSCI JPN ETF EOHDXETR0.00%+1424+2138+5148+5888+8817+13082
91931831560A6B.UKDUPONT DE NEMOURS INCAIMX0.00%+1424+2138+5147+5888+8816+13083
91991832610P0001H3CB.DEFAXA WORLD FUNDS GLOBAL INFLATION BONDS REDEX ZF ACC EURXFRA0.00%+1423+2138+5133+5862+8744+13003
91992832570P0001HPJW.DEFBLUE SKY EAGLE FUND OFFENSIEF CLASS A EUR ACCUMULATIONXFRA0.00%+1423+2138+5133+5862+8751+13009
92432837070P0001E1CQ.DEFZURICH INVEST EMU EQUITY IF ZI1 EUR UNHEDGED ACCXFRA0.00%+1425+2138+5131+5865+8761+12999
92433837100P0001GZR1.DEFFIDELITY FUNDS ITALY FUND I ACC EURXFRA0.00%+1425+2138+5131+5865+8757+12999
9251183786FWQ.DEFMOUNT GIBSON IRONXFRA0.00%+1425+2138+5120+5852+8767+13002
9251283785CKJ.DEFCLEARVUE TECHNOLOGIESXFRA0.00%+1425+2138+5120+5854+8770+13005
9251383786CKR.DEFQIFU TECHNOLOGY ADRXFRA0.00%+1425+2138+5120+5854+8770+13005
92514837900P0001JDVL.DEFAZ FUND 1 AZ BOND SUSTAINABLE HYBRID AXFRA0.00%+1425+2138+5120+5857+8769+13004
92519837950P0001NG1D.DEFAMUNDI PROGETTO INCOME REALE 2026XFRA0.00%+1425+2138+5120+5860+8763+12998
9460186061EN8A.DEFENIRO GROUP ABXFRA0.00%+1400+2138+5054+5741+8598+12721
9515486654BWGA.DEFBELL FOOD GROUPXFRA0.00%+1445+2138+5064+5741+8534+12611
9515586656CHK.DEFCHINA RESOURCES BEER HOLDINGSXFRA0.00%+1445+2138+5064+5741+8533+12610
8949680392OZK_PE.USBANK OZK P/E0.00%+1454+2138+5248+6067+9149+13575
8949780317PAXS_MV.USPIMCO ACCESS INCOME FUND MARKET VALUE0.00%+1454+2138+5248+6067+9292+13742
101201 - 101250 z 188220 | Pierwsza | Poprzednie 50 | Następne 50 | Ostatnia


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