Börsengänge von Unternehmen in 2002

Symbol Firmenname Preis (Vorbörslicher Handelpre-market) Marktkapitalisierung ▾ Volumen % (1D) % (1M) % (6M)
Netflix Inc
1,225.28
520.65B
2.28M
+0.57%
-1.59%
+19.27%
SNY
Sanofi Adr
48.05
118.22B
1.93M
+1.78%
-1.15%
-11.93%
CME
Cme Group Inc
275.88
99.42B
2.81M
-3.45%
+0.29%
+10.81%
TRI
Thomson Reuters Corp
170.31
76.75B
2.10M
-2.55%
-14.49%
-3.17%
BNS
Bank Of Nova Scotia
56.41
70.13B
1.16M
+0.62%
+3.41%
+10.52%
Nasdaq Inc
96.13
55.16B
3.51M
-0.84%
+7.52%
+20.28%
Vale S A Adr
10.40
47.21B
40.57M
+1.96%
+2.56%
+8.79%
Itau Unibanco Holding S A Adr
7.10
37.85B
50.80M
+3.50%
+12.70%
+33.28%
STX
Seagate Technology Holdings Plc
155.59
33.09B
2.36M
+2.57%
+5.71%
+56.83%
LQD
Ishares Iboxx Usd Investment Grade Corporate Bond Etf
109.68
31.96B
26.27M
+0.09%
+1.48%
+2.75%
VXF
Vanguard Extended Market Index Etf
200.44
22.89B
399.74K
+2.23%
+2.31%
+1.68%
TS
Tenaris S A Adr
35.96
20.91B
1.02M
+1.96%
-6.98%
-7.32%
SHY
Ishares 1 3 Year Treasury Bond Etf
82.68
17.25B
2.84M
+0.07%
+0.28%
+0.98%
SBS
Companhia De Saneamento Basico Do Estado De Sao Paulo Adr
22.73
15.54B
3.34M
+11.92%
+13.08%
+35.30%
XPO
Xpo Inc
126.54
14.90B
1.39M
+6.29%
-4.39%
-12.62%
BCH
Banco De Chile Adr
29.11
14.70B
193.30K
+1.32%
+1.22%
+11.02%
IEF
Ishares 7 10 Year Treasury Bond Etf
95.39
14.65B
6.72M
-0.02%
+1.13%
+3.42%
DKS
Dicks Sporting Goods Inc
222.21
12.55B
2.23M
+4.88%
+5.82%
-7.79%
Wynn Resorts Ltd
112.49
11.70B
1.52M
+3.55%
+1.19%
+43.54%
TLT
Ishares 20 Year Treasury Bond Etf
86.95
11.57B
41.03M
-0.50%
+1.35%
-0.32%
GME
Gamestop Corporation
22.93
10.26B
4.82M
+2.32%
-1.71%
-11.77%
CAE
Cae Inc
29.54
9.47B
874.90K
+2.75%
+2.50%
+25.44%
Saia Inc
301.21
8.02B
689.66K
+7.01%
-0.68%
-36.84%
NPO
Enpro Inc
227.45
4.79B
151.91K
+4.29%
+11.30%
+21.31%
IAG
Iamgold Corp
8.05
4.63B
14.76M
+6.62%
+14.18%
+21.79%
ABG
Asbury Automotive Group Inc
234.10
4.60B
166.50K
+4.97%
-11.06%
-22.23%
Sabra Healthcare Reit Inc
18.63
4.47B
1.78M
-0.05%
+0.92%
+15.71%
Golar Lng
40.43
4.23B
865.78K
+0.75%
-0.83%
+0.40%
Applied Digital Corporation
14.97
3.91B
25.22M
+6.70%
+63.07%
+98.02%
Rush Enterprises Inc
57.39
3.51B
278.17K
+4.48%
+6.89%
-2.56%
NEA
Nuveen Amt Free Quality Municipal Income Fund
10.94
3.27B
1.38M
+0.18%
-0.64%
-5.03%
FEZ
Spdr Euro Stoxx 50 Etf
59.66
2.77B
977.59K
+0.98%
-0.70%
+10.20%
Synaptics Inc
67.49
2.60B
686.66K
+5.26%
-1.20%
-5.99%
NVG
Nuveen Amt Free Municipal Credit Income Fund
11.85
2.53B
614.52K
+0.08%
-0.59%
-5.80%
PTY
Pimco Corporate Income Opportunity Fund
13.91
2.53B
664.60K
+0.00%
+0.65%
-6.08%
Banc Of California Inc
15.18
2.23B
2.22M
+4.83%
+1.40%
-4.23%
Jetblue Airways Corp
4.79
1.74B
34.21M
+12.18%
+9.11%
-27.53%
Cogent Communications Holdings Inc
34.06
1.68B
3.15M
+5.25%
-31.05%
-58.42%
RQI
Cohen Steers Quality Income Realty Fund Inc
12.10
1.63B
449.27K
-0.74%
-2.34%
-5.54%
NRP
Natural Resource Partners Lp
103.60
1.34B
10,441
-0.45%
+5.40%
+1.11%
Verint Systems Inc
19.51
1.17B
1.06M
-2.30%
-5.89%
-25.70%
Safety Insurance Group Inc
73.35
1.09B
108.42K
+1.38%
+1.93%
-5.34%
NRK
Nuveen New York Amt Free Quality Municipal Income Fund
9.50
828.74M
413.06K
+0.21%
-2.26%
-10.29%
CHI
Calamos Convertible Opportunities And Income Fund
10.37
807.53M
167.97K
+0.48%
-1.05%
-8.07%
Pra Group Inc
16.16
631.43M
304.41K
+5.83%
+2.34%
-30.37%
NKX
Nuveen California Amt Free Quality Municipal Income Fund
11.96
568.84M
159.23K
+0.93%
+1.87%
-5.38%
Ceva Inc
23.59
564.05M
376.12K
+10.60%
+3.06%
-25.63%
EIM
Eaton Vance Municipal Bond Fund
9.65
521.84M
160.88K
+0.52%
+1.37%
-5.21%
Beyond Inc
9.03
518.38M
3.85M
+6.11%
+16.07%
+6.49%
Peoples Financial Services Corp
50.85
508.27M
27,079
+3.82%
-0.74%
-1.42%
Calavo Growers Inc
27.67
493.55M
213.37K
-0.32%
+3.71%
+16.60%
BLE
Blackrock Municipal Income Trust Ii
9.96
483.66M
99,635
+0.30%
+0.00%
-7.18%
PML
Pimco Municipal Income Fund Ii
7.17
476.52M
867.71K
-0.28%
-2.45%
-14.13%
HPI
John Hancock Preferred Income Fund
15.95
425.83M
99,072
+0.25%
-0.62%
-10.04%
Spok Holdings Inc
18.67
384.43M
188.47K
+1.30%
+7.42%
+13.77%
Capricor Therapeutics Inc
8.04
367.24M
2.02M
+2.88%
+5.24%
-46.58%
HPF
John Hancock Preferred Income Fund Ii
16.02
345.64M
17,316
+0.12%
+1.07%
-8.87%
Houston American Energy Corp
10.04
339.78M
87,096
-2.43%
-17.50%
+632.85%
Acacia Research Corp
3.34
322.13M
414.51K
+1.52%
-15.87%
-20.85%
NGS
Natural Gas Services Group Inc
25.02
313.50M
124.09K
-1.30%
+2.54%
-7.23%
AFB
Alliancebernstein National Municipal Income Fund Inc
10.35
297.51M
31,290
+0.49%
+1.47%
-6.25%
NBH
Neuberger Berman Municipal Fund Inc
9.89
292.92M
136.84K
+0.61%
+0.41%
-6.34%
BYM
Blackrock Municipal Income Quality Trust
10.59
279.13M
70,817
+0.38%
+1.19%
-5.36%
Parke Bancorp Inc
21.86
258.98M
33,159
+3.21%
+4.05%
+11.25%
PHT
Pioneer High Income Fund Inc
8.25
242.07M
192.56K
+0.12%
+1.73%
+4.43%
Galectin Therapeutics Inc
3.77
238.61M
225.14K
-2.84%
+50.20%
+187.79%
EVM
Eaton Vance California Municipal Bond Fund
8.98
221.56M
63,625
+0.11%
+0.79%
-3.65%
WHG
Westwood Holdings Group Inc
18.32
171.84M
12,251
+5.29%
+9.24%
+11.78%
ENX
Eaton Vance New York Municipal Bond Fund
9.40
168.84M
39,241
+0.00%
+2.96%
-2.39%
Bcb Bancorp Inc Nj
8.65
148.73M
82,046
+3.59%
-2.37%
-15.53%
HQI
Hirequest Inc
9.98
140.72M
8,103
+1.01%
-0.50%
-24.39%
Martin Midstream Partners Lp
3.44
134.35M
16,302
+5.52%
+13.91%
-3.91%
WEA
Western Asset Premier Bond Fund
10.86
128.86M
14,304
+0.00%
+0.74%
+0.37%
FMN
Federated Hermes Premier Municipal Income Fund
10.74
123.49M
5,836
-0.19%
+1.42%
-2.72%
Travelzoo
10.07
111.73M
138.70K
+3.92%
-21.88%
-52.50%
Red Robin Gourmet Burgers Inc
6.16
109.25M
336.54K
+4.58%
+3.36%
+21.02%
Comstock Inc
3.02
97.90M
397.12K
-0.98%
-15.88%
-18.05%
Cbak Energy Technology Inc
1.00
89.94M
93,922
+4.17%
-6.54%
+11.19%
Hennessy Advisors Inc
10.66
83.02M
29,930
+1.23%
-13.12%
-11.17%
Alterity Therapeutics Ltd Adr
5.30
81.33M
39,837
-0.38%
+15.47%
+26.19%
PNI
Pimco New York Municipal Income Fund Ii
6.49
72.81M
147.17K
-0.51%
-3.13%
-10.36%
Live Ventures Inc
14.89
45.81M
26,079
-2.74%
-0.73%
+59.94%
Big 5 Sporting Goods Corp
1.43
32.77M
139.25K
+0.70%
+0.70%
-0.69%
BHV
Blackrock Virginia Municipal Bond Trust
10.31
16.60M
140
+0.98%
-0.48%
-4.27%
Therapeuticsmd Inc
1.105
12.79M
36,395
+2.31%
-6.36%
+9.41%
China Pharma Holdings Inc.
1.415
4.62M
36,276
+4.81%
-25.64%
-30.98%
Spdr Portfolio Europe Etf
47.05
N/A
219.67K
+1.05%
+7.84%
+16.46%