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Financial - Investment Management Industry Stocks

  • Market Cap

    538.72B
  • Stocks

    48
Sponsored
Overview
Performance
BLK logoBlackrock, Inc.BLK$968.46-12.89
-1.31%
$151.03B739.50K27.4135.42
KKR logoKKR & Co. Inc.KKR$90.061.15
+1.29%
$80.65B7.23M38.662.34
APO logoApollo Global Management, Inc.APO$109.960.16
+0.15%
$63.74B4.56M19.975.52
AMP logoAmeriprise Financial, Inc.AMP$448.32-3.57
-0.79%
$40.79B390.31K12.3736.36
MSCI logoMSCI, Inc.MSCI$535.054.06
+0.76%
$39.14B335.38K34.1115.69
ARES logoAres Management Corporation Class A Common StockARES$107.961.46
+1.37%
$24.35B2.30M64.201.69
TROW logoT Rowe Price Group IncTROW$90.290.71
+0.80%
$19.55B3.01M9.719.25
CG logoThe Carlyle Group Inc. Common StockCG$46.78-0.23
-0.49%
$17.07B1.83M21.682.18
BEN logoFranklin Resources, Inc.BEN$23.57-0.32
-1.33%
$12.33B5.29M21.931.08
IVZ logoInvesco LTDIVZ$24.10-0.26
-1.08%
$10.69B3.89M-15.06-1.60
SEIC logoSEI Investments CoSEIC$76.88-0.32
-0.42%
$9.41B750.15K13.675.63
JHG logoJanus Henderson Group plc Ordinary SharesJHG$51.38-0.04
-0.07%
$7.91B3.45M9.765.26
AMG logoAffiliated Managers GroupAMG$276.26-4.40
-1.57%
$7.37B419.50K11.9623.08
TPG logoTPG Inc. Class A Common StockTPG$40.30-0.38
-0.94%
$6.46B1.57M91.570.44
OWL logoBlue Owl Capital Inc.OWL$9.02-0.01
-0.17%
$6.02B19.70M90.500.10
AVAL logoGRUPO AVAL ACCIONES Y VALORES S.A.AVAL$4.20-0.12
-2.80%
$4.97B63.76K11.640.36
VCTR logoVictory Capital Holdings, Inc. Class A Common StockVCTR$69.51-0.71
-1.01%
$4.45B529.96K17.094.07
HLNE logoHamilton Lane Incorporated Class A Common StockHLNE$97.48-3.38
-3.35%
$4.45B685.14K18.185.57
FHI logoFederated Hermes, Inc.FHI$57.31-0.19
-0.33%
$4.35B522.26K11.165.14
SII logoSprott Inc.SII$133.21-6.13
-4.40%
$3.50B174.28K52.152.60
AB logoAllianceBernstein Holding, L.P.AB$36.990.27
+0.74%
$3.45B595.22K12.463.00
CNS logoCohen & Steers Inc.CNS$61.930.03
+0.05%
$3.18B393.75K20.792.98
DBRG logoDigitalBridge Group, Inc.DBRG$15.38-0.01
-0.03%
$2.82B1.98M34.200.45
APAM logoARTISAN PARTNERS ASSET MANAGEMENT INC.APAM$36.27-0.44
-1.18%
$2.56B916.05K9.054.01
PAX logoPatria Investments Limited Class A Common SharesPAX$11.51-0.04
-0.38%
$1.86B774.12K21.990.53
CSWC logoCapital Southwest CorpCSWC$21.83-0.22
-1.02%
$1.32B462.39K12.101.81
PSEC logoProspect Capital CorporationPSEC$2.56-0.04
-1.73%
$1.25B5.22M-3.18-0.81
VRTS logoVirtus Investment Partners, Inc.VRTS$133.160.66
+0.50%
$891.81M77.47K6.6619.99
PFLT logoPennantPark Floating Rate Capital Ltd.PFLT$7.99-0.16
-2.01%
$800.69M759.34K23.740.34
ASST logoStrive, Inc. Class A Common StockASST$10.42-0.43
-3.98%
$725.48M2.10M----
NOAH logoNoah Holdings Limited - ADRNOAH$9.89-1.44
-12.69%
$645.56M448.55K7.671.29
GCMG logoGCM Grosvenor Inc. Class A Common StockGCMG$9.64-0.11
-1.09%
$586.52M531.28K26.070.37
CNNE logoCannae Holdings, Inc. Common StockCNNE$11.00-0.36
-3.15%
$510.45M574.84K-1.24-8.92
VALU logoValue Line IncVALU$35.13-0.85
-2.38%
$330.10M441.0015.032.34
S
Sound Point Meridian Capital, Inc.SPMC
$8.970.15
+1.76%
$184.42M21.93K-2.54-3.53
WHG logoWESTWOOD HOLDINGS GROUP, INC.WHG$16.220.20
+1.26%
$153.99M3.27K20.540.79
BANX logoArrowMark Financial Corp. Common StockBANX$18.98-0.17
-0.89%
$148.24M57.24K----
SAMG logoSilvercrest Asset Management Group Inc.SAMG$13.290.06
+0.45%
$102.08M26.71K25.130.53
MRCC logoMonroe Capital CorporationMRCC$4.660.04
+0.89%
$101.40M60.86K-20.35-0.23
OCCI logoOFS Credit Company, Inc. Common StockOCCI$3.000.23
+8.09%
$86.80M649.85K-2.28-1.31
AMTD logoAMTD IDEA Group - ADRAMTD$1.000.01
+0.59%
$80.07M3.81K----
HNNA logoHennessy Advisors, Inc.HNNA$9.60-0.16
-1.64%
$75.76M8.04K8.421.14
GECC logoGreat Elm Capital. Corp. Common StockGECC$5.010.00
-0.08%
$70.75M31.46K-2.20-2.30
RMCO logoRoyalty Management Holding Corporation Class A Common StockRMCO$3.410.08
+2.52%
$51.71M4.24K-341.50-0.01
FGNX logoFG Nexus Inc. Common StockFGNX$6.38-0.30
-4.46%
$41.79M25.83K----
M
Mount Logan Capital Inc. Common StockMLCI
$3.66-0.23
-5.99%
$40.98M83.74K----
GROW logoUS Global Investors IncGROW$2.84-0.02
-0.70%
$35.59M10.96K--0.00
BCG logoBinah Capital Group, Inc. Common StockBCG$2.100.08
+3.69%
$35.11M2.51K70.500.03
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