Secteur BlackRock MuniHoldings New Jersey Quality Fund, Inc.

Actions

MUJ

US09254X1019

Fonds d'investissement à capital fixe

Marché Fermé - NYSE 22:00:02 10/07/2026 Varia. 5j. Varia. 1 janv.
12,37 USD -0,24% Graphique intraday de BlackRock MuniHoldings New Jersey Quality Fund, Inc. +0,16% +3,95%
Principaux concurrents
Varia. Varia. 5j. Variation 1 mois Variation 3 mois Varia. 1 janv. Varia. 1an Varia. 3ans Varia. 5ans Varia. 10ans Capi.($)
-0,24%+0,16%-0,16%+3,78%+3,95%+13,28%+10,55%-22,49%-24,80% 658 M
-0,29%-0,29%+0,68%-14,13%-6,15%+21,86%+106,74%+117,02%+173,52% 14,76 Md
-0,36%-1,59%-4,54%-22,76%-19,07%+51,90%+141,97%+107,82%+144,76% 12,27 Md
+1,94%+3,02%+0,78%-6,31%-19,73%-6,67%+37,07%+48,19%+170,91% 9,21 Md
+0,42%+0,42%+1,51%-4,28%-5,31%-12,70%-12,20%-42,01%-39,96% 7,74 Md
0,00%-0,60%-0,87%-15,33%-10,31%+34,80%+127,59%+116,90% - 7,6 Md
+1,46%-0,99%+5,49%-2,31%+0,93%+19,45%+66,54% - - 6,59 Md
+0,92%0,00%+2,39%+10,63%+2,94%+11,92%+23,00%+25,20%+68,02% 4,77 Md
+0,73%+1,38%+2,23%+4,77%+10,01%+13,30%+5,88%+3,97%+2,14% 4,14 Md
+0,03%-0,11%-0,11% - - - - - - 3,79 Md
+1,69%+2,43%+3,03%-1,61%+11,59%+13,26%+49,80%+16,90%+26,18% 3,59 Md
-0,43%-1,03%-0,09%+0,52%-0,43%+5,46%+6,93%-26,89%-23,87% 3,46 Md
+0,60%+0,90%+1,05%+10,13%+15,81%+13,85%+7,32%-19,57%-20,71% 3,38 Md
+1,02%+1,36%+6,56%+12,55%+8,33%+13,41%+42,96%+14,16%+105,74% 3,34 Md
+1,99%+1,09%-5,45%-9,87%-9,07%-11,66%-18,55%-17,17%+15,20% 3,26 Md
+0,73%+2,03%+7,49%+11,11%+11,96%+20,05%+55,60%+30,68%+103,03% 3,2 Md
+0,41%+0,10%+4,48%+6,99%+2,83%+9,99%+24,84%-3,73%+12,13% 3 Md
+2,27%+3,55%-1,82%+6,61%-27,08%-49,98%-44,33%-49,63%-70,46% 3,02 Md
-0,13%+0,25%+1,41%-0,25%-2,71%-3,43%+21,95%-21,34%-23,25% 2,92 Md
-0,42%-1,08%+0,59%+0,85%-0,75%+4,83%+6,61%-26,22%-24,49% 2,79 Md
Moyenne +0,62%+0,52%+1,23%-0,47%-1,70%+8,58%+34,75%+13,99%+34,95% 5,17 Md
Moyenne pondérée par Capi. +0,53%+0,32%+0,76%-5,21%-5,16%+13,84%+56,41%+41,59%+73,43%
Fonds d'investissement à capital fixe
  1. Bourse
  2. Actions
  3. Action MUJ
  4. Secteur BlackRock MuniHoldings New Jersey Quality Fund, Inc.