Sector: Financial Services

Showing 12101–12200 of 23449 stocks (page 122 of 235).

Stock Market Cap Dividend Yield P/E Ratio Dividend Frequency Years Paying DGR
LYMZ.DE Amundi EURO STOXX 50 Daily (2x) Leveraged UCITS ETF Acc 217.1 million - - - - -
FDEU First Trust Exchange-Traded Fund VIII - First Trust Active Global Quality Income ETF 216.9 million 7.00% 6.70 11 9 -
JU13.L JPMorgan ETFs (Ireland) ICAV - BetaBuilders US Treasury Bond 1-3 yr UCITS ETF 216.9 million - - - - -
VLB.TO Vanguard Canadian Long-Term Bond Index ETF 216.9 million 3.85% - 12 10 0%
SMLL.AX BetaShares - Australian Small Companies Select ETF 216.8 million 2.33% 18.70 2 9 10%
LIEN Chicago Atlantic BDC, Inc. 216.8 million 14.14% 6.93 4 4 -
EESG.PA Amundi MSCI EMU SRI Climate Paris Aligned UCITS ETF DR (C) 216.8 million - 19.60 - - -
NLSI NEOS Long/Short Equity Income ETF 216.8 million 3.33% 16.52 12 2 -
BSEP Innovator U.S. Equity Buffer ETF 216.7 million 0.67% 27.35 - - -
DWIN Delwinds Insurance Acquisition Corp. 216.6 million 0.11% - - - -
ETNRX Eventide Core Bond N 216.6 million 3.97% - 4 7 30%
OBXD.OL DNB OBX ETF 216.6 million - - - - -
CPLS Alliance Bernstein - AB Core Plus Bond ETF 216.5 million 4.65% - 12 4 -
BST.WA BEST S.a. 216.5 million 0.00% 8.28 - - -
EM1C.DE VanEck J.P. Morgan EM Local Currency Bond UCITS ETF 216.4 million - - - - -
SKYAW Skydeck Acquisition Corp. 216.3 million - - - - -
TVSVX Third Avenue Small-Cap Value Fund Investor Class 216.3 million 2.99% - 1 16 30%
EAEMX Parametric Emerging Markets Fund 216.2 million 2.55% - 1 19 14%
023410.KQ Eugene Corporation 216.1 million 3.89% - 1 2 -
SHQAU Shelter Acquisition Corporation I 216.1 million - 21.90 - - -
SHQAW Shelter Acquisition Corporation I 216.1 million - - - - -
NXR Nuveen Select Tax-Free Income Portfolio 3 216.1 million 3.12% 25.60 - - -
LYY8.DE Amundi LevDax Daily (2x) leveraged UCITS ETF Acc 216.0 million - - - - -
AIRA.BK AIRA Capital Public Company Limited 215.9 million 0.00% -56 - - -
ESTX.AX Global X - EURO STOXX 50 ETF 215.8 million 1.88% 17.85 2 11 7%
SPTK SportsTek Acquisition Corp. 215.8 million - 16.15 - - -
AGBA AGBA Group Holding Limited 215.8 million 0.00% -0.37 - - -
RBTZ.AX BetaShares - Global Robotics and Artificial Intelligence ETF 215.7 million 1.94% 35.11 1 8 30%
NJUL Innovator Growth-100 Power Buffer ETF 215.7 million - 32.97 - - -
VTAQU Ventoux CCM Acquisition Corp. 215.7 million - 59.78 - - -
MONARCH.BO Monarch Networth Capital Limited 215.5 million 0.39% 12.91 2 6 -
MONARCH.NS Monarch Networth Capital Limited 215.5 million 0.39% 13.11 2 6 -
SNFCA Security National Financial Corporation 215.4 million 0.50% 12.53 - - -
EXV2.DE iShares STOXX Europe 600 Telecommunications UCITS ETF (DE) 215.3 million 2.03% 17.80 4 21 3%
BSAQ ITA Oct 2023 106.000 call 215.3 million - 40.19 - - -
SBND Columbia Short Duration Bond ETF 215.3 million 4.55% - 12 6 30%
SKYAU Skydeck Acquisition Corp. 215.2 million - - - - -
302190.KS TIGER KTB3-10Y COMPOSITE 215.1 million 1.01% - 1 7 30%
DRSVX North Square Small Cap Value Fund Investor Class Shares 215.1 million 0.79% 14.61 1 22 14%
UJAN Innovator U.S. Equity Ultra Buffer ETF 215.1 million - 27.22 - - -
GNPK Genesis Park Acquisition Corp. 215.0 million - - - - -
PGIIX Polen Capital Global Growth Fund- Institutional Class 214.9 million 22.19% - 1 2 -
DFHTU Deerfield Healthcare Technology Acquisitions Corp. 214.9 million - - - - -
WEMMX TETON Westwood Mighty Mites Fund 214.8 million 18.19% - 1 25 14%
WEIMX TETON Westwood Mighty Mites Class Institutional 214.8 million 18.42% - 1 16 15%
213610.KS Kodex Samsung Group Value 214.8 million 1.03% - 2 11 7%
OPOF Old Point Financial Corporation 214.8 million 1.33% 24.62 4 26 4%
SRHE.DE Amundi MSCI EMU SRI Climate Paris Aligned UCITS ETF DR (C) 214.8 million - 19.46 - - -
CLAQU CleanTech Acquisition Corp. 214.7 million - - - - -
PRPC CC Neuberger Principal Holdings III 214.7 million - 219 - - -
GLHAU Glass Houses Acquisition Corp. 214.5 million - 17.12 - - -
AIF Apollo Tactical Income Fund Inc 214.4 million 0.10% 6.18 12 12 14%
EH1Y.DE iShares Broad € High Yield Corp Bond UCITS ETF 214.4 million 5.53% - 2 5 -
2816.TW Union Insurance Co., Ltd. 214.4 million 4.92% 7.04 1 2 -
GSHR Gesher Acquisition Corp. II 214.4 million 0.00% - - - -
TECH.AX Global X - Morningstar Global Technology ETF 214.3 million 12.96% 28.10 2 10 30%
WELN.DE Amundi S&P World Energy Screened UCITS ETF Acc 214.3 million - 22.45 - - -
TASCX Third Avenue Small Cap Value Instl 214.3 million 3.05% - 1 29 30%
ICBK County Bancorp, Inc. 214.3 million 1.35% 15.74 - - -
ELCR.DE Amundi MSCI Smart Mobility UCITS ETF Acc 214.2 million - - - - -
GIM Templeton Global Income Fund 214.2 million 8.64% 21.47 12 37 15%
XDSR.TO iShares ESG Advanced MSCI EAFE Index ETF 214.1 million 1.79% 19.13 2 7 16%
ARYA ARYA Sciences Acquisition Corp III 214.1 million - -200.51 - - -
GCAC Growth Capital Acquisition Corp. 214.0 million - - - - -
NRGW.PA Amundi S&P World Energy Screened UCITS ETF Acc 214.0 million - 22.46 - - -
0804.HK Pinestone Capital Limited 213.9 million 0.00% -3.52 - - -
VEFFF Vef Ab 213.9 million 0.00% 2.63 - - -
TCAC Tuatara Capital Acquisition Corporation 213.8 million - 16.47 - - -
PGIRX Polen Global Growth Fund 213.7 million 23.00% - 1 2 -
AIS VistaShares Artificial Intelligence Supercycle ETF 213.5 million 0.00% 32.71 - - -
EDNC Endurance Acquisition Corp. 213.5 million - - - - -
WAGN Pabrai Wagons ETF 213.3 million - - - - -
ASDV.L State Street SPDR S&P Pan Asia Dividend Aristocrats UCITS ETF (Dist) 213.3 million 2.87% 13.53 2 13 2%
SAMA Schultze Special Purpose Acquisition Corp. II 213.3 million - 75.57 - - -
ENCL.TO Global X Enhanced Canadian Oil And Gas Equity Covered Call ETF 213.2 million 14.76% 18.18 12 4 -
CSYZ.DE UBS FTSE EPRA Nareit Developed Green UCITS ETF USD dis 213.1 million 2.95% - 2 6 9%
HAP VanEck Natural Resources ETF 213.1 million 1.89% 22.79 1 18 3%
0Y3O.L iShares Global High Yield Corp Bond CHF Hedged UCITS ETF (Dist) 213.0 million 7.00% - 4 10 0%
GARFA.IS Garanti Faktoring A.S. 213.0 million 0.00% 4.81 - - -
COG.AX COG Financial Services Limited 213.0 million 4.29% 14 2 7 12%
CVSB Calvert Ultra-Short Investment Grade ETF 212.8 million 4.27% - 12 4 -
GINN Goldman Sachs Innovate Equity ETF 212.8 million 1.13% 23.96 1 6 30%
TSI TCW Strategic Income Fund, Inc. 212.8 million 7.99% 9.58 12 40 -5%
AIFU AIFU Inc. 212.7 million 41.78% - - - -
CALB California BanCorp 212.6 million 0.00% 24.36 - - -
MPACX Matthews Asia Growth Fund 212.5 million 1.49% - - - -
WMMCX TETON Westwood Mighty Mites Fund;C 212.5 million 17.23% - 1 20 8%
NPV Nuveen Virginia Quality Municipal Income Fund 212.5 million 7.18% -146.87 12 34 15%
EJFA EJF Acquisition Corp. 212.4 million - - - - -
GLSPU Global SPAC Partners Co. 212.1 million - - - - -
JDD Nuveen Diversified Dividend and Income Fund 212.0 million 6.99% -5.30 - - -
EMNT PIMCO Enhanced Short Maturity Active ESG Exchange-Traded Fund 212.0 million 3.93% - 12 8 30%
MOBI.L Amundi MSCI Smart Mobility UCITS ETF Acc 212.0 million - 21.22 - - -
HIDV AB US High Dividend ETF 212.0 million 2.22% 19.54 4 4 -
XMTD.L Xtrackers MSCI Taiwan UCITS ETF 1C 211.9 million 0.00% 22.52 - - -
TPVG TriplePoint Venture Growth BDC Corp. 211.9 million 17.69% 4.97 4 13 -5%
SPRE SP Funds S&P Global REIT Sharia ETF 211.9 million 3.73% 34.53 12 6 1%
FCAP First Capital, Inc. 211.7 million 1.96% 10.57 4 28 4%
ELCIDIN.BO Elcid Investments Ltd. 211.6 million 0.02% 15.36 1 10 30%
DLR-U.TO Global X US Dollar Currency ETF 211.5 million 3.29% - 4 4 -