سهام

نام قیمت نمودار هفته تحلیل
اپل $238.15 تحلیل
مایکروسافت $446.94 تحلیل
معدن نم $41.3 تحلیل
انویدیا $128.39 تحلیل
معدن پن آمریکن $21.84 تحلیل
بیشتر از کمتر از
بیشتر از کمتر از
نماد شرکت بخش صنعت مارکت کپ P/E Fwd P/E PEG PS PB PC PCFC EPS (امسال) EPS (سال بعد) EPS (۵ سال گذشته) EPS (۵ سال آینده) فروش (۵ سال گذشته) ROA ROE ROI سود تقسیمی Curr R Quick R LTDebt Eq Debt Eq Gross M Oper M Profit M درآمد قیمت حجم
CTRE CareTrust REIT Inc مسکن REIT - Healthcare Facilities 5 B 36.16 18.77 0.84 17.93 1.82 12.79 23.45 64.4 66.91 -7.07 42.85 7.5 4.22 5.6 3.51 4.5 - - 0.16 0.16 75.06 65.34 36.73 Feb 12/a $ 25.75 2,275,359
BX Blackstone Inc مالی Asset Management 200 B 45.47 23.71 2.17 17.95 24.5 91.72 94.15 22.29 22.46 3.62 20.92 22.34 6.63 36.95 13.54 2.99 - - 1.5 1.5 99.38 62.33 24.98 Jan 30/b $ 164.78 3,807,254
PRCT Procept BioRobotics Corp سلامت Medical Devices 4 B - - - 17.96 14.27 18.25 - 22.27 25.49 -23.27 30.35 142.74 -25.16 -37.02 -31.27 - 6.02 5.07 0.33 0.33 54.83 -53.27 -50.07 Feb 25/a $ 66 807,960
MXF Mexico Fund Inc مالی Closed-End Fund - Foreign 209 M - - - 17.98 0.63 - - - - - - - - - - 6.17 - - - - - - - - $ 14.26 50,752
ASST Asset Entities Inc خدمات ارتباطی Internet Content & Information 9 M - - - 18 0.98 4.29 - - - - - 258.92 -172.35 -184.25 -256.48 - 7.46 7.46 - - 99.18 -1151.79 -1153.34 - $ 0.65 969,234
TRAK ReposiTrak Inc تکنولوژی Software - Application 376 M 68.2 53.47 - 18.05 7.91 14.58 51.93 18.97 11.62 11.91 - -0.34 12.18 13.41 11.98 0.33 6.75 6.75 0.01 0.01 77.58 25.46 27.52 Feb 12/a $ 20.59 34,342
VBF Invesco Bond Fund مالی Closed-End Fund - Debt 178 M 9.58 - - 18.09 0.94 - - - - - - - - - - 5.03 - - - - - - - - $ 15.62 43,621
LUCD Lucid Diagnostics Inc سلامت Medical Devices 76 M - - - 18.13 - 5.24 - 84.6 30.9 -110.66 58.74 129.86 -160.52 -1007.83 -626.59 - 1.18 1.11 0.32 2.06 -90.62 -1077.37 -1248.84 Nov 13/b $ 1.28 1,000,936
RQI Cohen & Steers Quality Income Realty Fund, Inc مالی Closed-End Fund - Equity 2 B 15.95 - - 18.22 1.04 - - - - - - - - - - 7.43 - - - - - - - - $ 12.92 301,791
LLY Lilly(Eli) & Co سلامت Drug Manufacturers - General 821 B 73.82 29.5 1.82 18.23 57.72 233.39 586.63 74.08 29.66 18.77 40.57 15.54 12.54 65.75 24.47 0.78 1.27 0.97 2.04 2.19 84.46 37.83 23.51 Feb 06/b $ 865 1,943,858
TGTX TG Therapeutics Inc سلامت Biotechnology 5 B - 32.07 - 18.29 25.22 14.2 - 61.9 565.69 - 170.53 3133.08 -3.13 -8.05 -3.23 - 4.59 3.91 1.31 1.32 88.2 -0.19 -5.42 Nov 04/b $ 31.11 1,249,864
MA Mastercard Incorporated مالی Credit Services 518 B 40.65 30.2 2.85 18.4 79.59 55.94 36.3 8.79 17.72 11.83 14.25 11.38 28.44 191.95 53.73 0.52 1.03 1.29 2.69 2.81 93.58 57.68 45.71 Jan 30/b $ 564.7 1,847,742
V Visa Inc مالی Credit Services 685 B 35.83 27.49 2.85 18.62 18.34 37.21 33.59 12.26 13.09 13.34 12.56 9.69 21.5 50.51 35.84 0.69 1.12 1.12 0.44 0.54 76.98 67.1 53.54 Jan 30/a $ 350.72 5,146,401
SPE Special Opportunities Fund Inc مالی Closed-End Fund - Equity 165 M 5.06 - - 18.65 1 - - - - - - - - - - 7.47 - - - - - - - - $ 15.52 88,120
LOAR Loar Holdings Inc صنعتی Aerospace & Defense 7 B 377.92 112.54 - 18.69 8.82 128.28 262.36 1480.13 62.38 - - 32.59 -0.45 -1.1 1.31 - 3.95 2.28 0.79 0.79 45.33 22.59 4.74 Nov 13/b $ 75.66 464,628
ERH Allspring Utilities and High Income Fund مالی Closed-End Fund - Equity 101 M 5.22 - - 18.83 0.84 - - - - - - - - - - 6.92 - - - - - - - - $ 11.22 20,105
EH EHang Holdings Ltd ADR صنعتی Aerospace & Defense 912 M - - - 18.85 8.57 5.94 - 3.12 91.37 -24.67 - 27.08 -25.56 -50.79 -28.3 - 2.39 2.25 0.17 0.42 62.23 -85.85 -73.15 Nov 18/b $ 20.71 2,747,039
JRS Nuveen Real Estate Income Fund مالی Closed-End Fund - Debt 249 M 11.81 - - 18.92 0.97 - - - - - - - - - - 7.89 - - - - - - - - $ 8.62 70,270
NOW ServiceNow Inc تکنولوژی Software - Application 208 B 147.51 50.88 7.44 18.92 21.68 36.04 60.87 17.65 21.1 16.56 19.84 26.04 7.55 16.53 12.09 - 1.04 1.04 0.23 0.24 79.18 12.42 12.97 Jan 29/a $ 1009.05 1,014,924
AXSM Axsome Therapeutics Inc سلامت Biotechnology 6 B - - - 18.93 68.93 19.57 - -3.68 65.66 -35.53 - 110.2 -53.51 -171.61 -110.15 - 2.44 2.37 2.04 2.07 88.88 -72.64 -91.87 Feb 18/b $ 132.2 1,639,470