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Dow Jones

 
 
 
 

NASDAQ

 
 
 
 

S&P 500 ETF

 
 
 
 
Name | SymbolLastChange%ChangeVolumeTurnoverRange %Market CapChange %(5D)Change %(20D)Change %(60D)Change %(YTD)

Prothena Corp PLC

US

PRTA

8.92-0.17%-0.0111.00K98.53K1.46%457.67M-9.22%+0.62%+5.01%-6.65%

Columbia Multi-Sector Municipal Income ETF

US

MUST

19.66-0.17%-0.031753.44K0.00%575.06M-1.26%-3.49%-4.75%-4.61%

Fidelity Preferred Securities & Income ETF

US

FPFD

20.95-0.17%-0.044K86.71K0.07%78.54M-0.83%-1.37%-2.81%-3.90%

PowerFleet, Inc.

US

AIOT

3.00-0.17%0.0058.89K176.33K1.33%400.80M-0.83%-3.70%-26.77%-43.70%

BROWN ADVISORY SUSTAINABLE VALUE ETF

US

BASV

31.18-0.17%-0.0570822.08K0.00%417.59M-2.26%-3.38%+3.29%+12.28%

AEBI SCHMIDT HOLDING AG

US

AEBI

12.04-0.17%-0.0210.26K121.74K2.57%931.20M-7.03%-5.27%+0.25%-4.82%

JPMorgan New York Tax Free Bond ETF

US

JTNY

48.17-0.17%-0.083K146.86K0.02%439.30M-1.09%-2.57%-3.90%-3.81%

John Hancock Premium Dividend Fund

US

PDT

12.11-0.17%-0.0213.17K159.53K0.33%595.63M-2.81%-5.17%-4.80%-4.65%

SIGA Technologies Inc.

US

SIGA

3.03-0.16%0.0017.22K52.73K1.81%216.62M-8.05%+0.83%-29.81%-50.49%

Vanguard Total International Bond ETF

US

BNDX

46.91-0.16%-0.08143.30K6.72M0.04%82.46B-1.13%-1.69%-2.89%-2.91%

Sumitomo Mitsui

US

SMFG

27.25-0.16%-0.0468.57K1.87M0.29%172.47B-0.20%+3.51%+11.02%+40.95%

Soligenix, Inc.

US

SNGX

0.3634-0.16%-0.000617.28K6.37K1.81%7.91M-4.37%-9.15%-9.60%-72.88%

Cresud SACIF y

US

CRESY

12.12-0.16%-0.0213.13K158.41K1.65%857.57M+0.41%+14.66%+3.59%-4.04%

Atkore Inc.

US

ATKR

94.00-0.16%-0.15144.75K13.60M0.24%3.17B+0.25%+0.21%+22.33%+48.61%

MFS Active Core Plus Bond Etf

US

MFSB

24.25-0.16%-0.049K220.34K0.08%558.36M-1.12%-1.60%-2.79%-3.83%

BlackRock Taxable Municipal Bond Trust

US

BBN

15.20-0.16%-0.0219.11K290.60K0.33%938.94M-2.91%-4.13%-4.79%-6.89%

iShares High Yield Corporate Bond Buywrite Strategy ETF

US

HYGW

28.50-0.16%-0.052K64.88K0.11%110.44M-0.97%-1.66%-1.60%-4.55%

Nuveen Global High Income Fund

US

JGH

12.18-0.16%-0.0211.05K134.00K1.07%342.57M-1.85%-2.79%-4.47%-3.41%

Park Hotels & Resorts Inc.

US

PK

15.26-0.16%-0.0270.66K1.07M1.51%3.07B-0.03%+0.83%+5.21%+45.84%

The Consumer Discretionary Select Sector SPDR Premium Income Fund

US

XLYI

22.05-0.16%-0.0474416.41K0.11%26.90M-1.56%-4.29%-2.76%-10.17%