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Ticker Rank - Lista aktywności walorów
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40401 - 40450 z 102064 | Pierwsza | Poprzednie 50 | Następne 50 | Ostatnia
Ticker Rank (TR)Ticker Rank śr. 1M Ulubione WalorRynekZmiana ceny 1DZmiana TR 1DZmiana TR 3DZmiana TR 5DZmiana TR 10DZmiana TR 20DZmiana TR 30D
16177402391MUB.DEMUEHLBAUER HOLDINGXETRA0.00%+627+5764-12584-10928+6107-55114
3468140240HHK28.FNATURAL GAS LDAY MAY 2028NYMEX0.00%+323+3201+8895+10791-27341-23663
34881402404762.JPXNETTSE0.00%+323+3198+9062+11058-27235-23638
3221640242EOS_PE.USEATON VANCE ENHANCED EQUITY INCOME FUND II P/E0.00%+394+3370+9648+11550-28621-25567
1936540243RWR_PB.USSPDR DOW JONES REIT ETF P/BV0.00%+571+5448-13637-35592-27189-22650
34684402444091.NAEGON UFK BLACKROCK US SMALL & MIDCAP OPR USD0.00%+323+3201+8895+10791-27343-23665
3202640246TDH29.FDUTCH TTF GAS IFEU MAR 2029ICE0.00%+346+3376+9412+11221-28717-25772
34686402464156.NAEGON UFK GWARANTOWANY0.00%+323+3201+8895+10791-27343-23665
34921402462069.NBGF UNITED KINGDOM D2 EUR0.00%+323+3198+8996+11121-27226-23301
3759240247ECF_PB.USELLSWORTH GROWTH AND INCOME FUND P/BV0.00%+332+3189+7563+9608+1436-20100
34893402517284.JPMEIWA INDUSTRYTSE0.00%+323+3198+9062+11057-27232-23635
34894402532689.JPOLBA HEALTHCARE HOLDINGSTSE0.00%+323+3198+9062+11056-27232-23635
34929402552392.NFTI 0612 TEMPLETON EM FUND N ACC EUR0.00%+323+3198+8996+11120-27226-23302
23691402552540.HKLESI GROUPHKEx0.00%+484+4582-8923-30482-21900-17678
30986402562STTK.USSHATTUCK LABSNASDAQ0.00%+331+3423+9762+11844-24584-21129
3671240257OSBC.USOLD SECOND BANCORPNASDAQ+0.87%+294+3047+7706+9264+26072-31505
3903540258MRK_PEMARKA P/E0.00%+273+2961+7189+8574+23983-24407
2686840258BKD_PBBKDGAMES P/BV-0.04%+427+4031+11616+14391-26427-22691
304964026114458.NALLIANZ UFK PEKAO AKCJI AMERYKAŃSKICH0.00%+360+3495+9927+11962-32266-29488
3490140261FEMS.USFIRST TRUST EMERGING MARKETS SMALL CAP ALPHADEX FUNDNASDAQ+0.66%+323+3198+9059+11054-27231-23637
37734402642PBD.USINVESCO GLOBAL CLEAN ENERGY ETFNYSE+1.13%+285+2992+7482+8957+25559-28662
15831402641ODV.USOSISKO DEVELOPMENTNYSE+1.34%+642+5819-7068-5206-53480-51316
3208340268VATE_PE.USINNOVATE P/E0.00%+346+3358+9419+11284-28615-25742
34941402693064.NJPM US SMALL CAP GROWTH A DIST USD0.00%+323+3198+8992+11116-27226-23304
291114026928806.HKMB GCL @EC2609AHKEx0.00%+377+3627+10283+12511-25152-21569
2343240273OVS.USOVERLAY SHARES SMALL CAP EQUITY ETFNYSE0.00%+488+4643+8678+5451-35200-32185
15890402742003.NBGF US BASIC VALUE A2 EUR0.00%+641+5811-8424-6641-22908-53254
423444027425810.HKSGKUASO@EC2506BHKEx+52.63%+204+2305+6096+7260+19479+28244
3191040275IDVO_PE.USAMPLIFY CWP INT ENHANCED DIVIDEND INCOME ETF P/E0.00%+337+3309+9419+11403-29077-26150
2832940276MIMI_MV.USMINT INCORPORATION MARKET VALUE0.00%+399+3734+10765+13167
660140276AAPG.USASCENTAGE PHARMA GROUP INTNASDAQ+7.42%-716-927+730+3037
775840277RCFL4OPL1.PLORANGE POLSKA SA FAKTOR LONGWSE0.00%+1286-45660-42727-41937-32514-27139
2977740277603507.CNJIANGSU ZHENJIANG NEW ENERGY EQUIPMENTSSE+0.13%+372+3569+10232+12374-35851-33261
34698402775199.JPFUJI LATEXTSE0.00%+323+3201+8705+10917-27573-23787
349494027713603.NSCHRODER ISF EU DIV MAXIMISER A1 DIS0.00%+323+3198+8991+11114-27224-23302
34950402783643.NSCHRODER ISF GLOBAL BOND USD HDG A ACC0.00%+323+3198+8991+11114-27224-23302
4118140278OW20F231675.PLOW20F231675WSE0.00%+184+2557+6518+7729+20771+30439
5350840279PHIN_PE.USPHINIA P/E-0.10%+129+1308+4383+4910+14772+20425
1085340279XT01.DEXTRACKERS TREASURIES ULTRASHORT BOND ETFXETRA0.00%+758-5257-43317-42623-33920-29124
161514027913MITY.BITALY 3M BOND YIELDBonds+0.027+625+5790-12705-11137+6079-55165
34953402823731.NSCHRODER ISF GLOBAL HIGH YIELD EUR HDG A ACC0.00%+323+3198+8991+11114-27225-23303
15683402841BCPT.UKBALANCED COMMERCIAL PROPERTY TRUSTLSE0.00%+644+5859+6886-41785-33835-29605
901040285TOAK.USTWIN OAK SHORT HORIZON ABSOLUTE RETURN ETFNYSE0.00%+820-44362-41407-40636-31211-25825
264024028640MLC.UKISH STOXX EUR SLSE Intl-0.09%+520+4122+12128+15112-27319-23646
34957402872717.NWARTA UFK SCHRODER ASIAN CONVERTIBLE BOND PLN HEDGED0.00%+323+3198+8991+11114-27225-23305
3777140287ESTA_PB.USESTABLISHMENT LABS HOLDINGS P/BV-0.31%+292+3002+7442+8911+25644-35160
34709402888225.JPTAKACHIHOTSE0.00%+323+3200+8704+10915-27571-23786
3217840290VAR_PBVARSAV P/BV+0.73%+291+3385+9658+11536-28707-25765
2369440292EBH202501HUF.HUEBH202501HUFBÉT0.00%+484+4587-8969-30538-22047-17485
207614029332314.NFTI 0361 FRANKLIN INDIA FUND A ACC USD0.00%+539+5134+14792+17141-47198-44919
40401 - 40450 z 102064 | Pierwsza | Poprzednie 50 | Następne 50 | Ostatnia


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