Secteur Cadre Holdings, Inc.

Actions

CDRE

US12763L1052

Industrie aérospatiale et de défense

Marché Fermé - NYSE 22:00:02 25/06/2026 Varia. 5j. Varia. 1 janv.
28,16 USD -2,05% Graphique intraday de Cadre Holdings, Inc. -0,32% -31,05%
Principaux concurrents
Varia. Varia. 5j. Variation 1 mois Variation 3 mois Varia. 1 janv. Varia. 1an Varia. 3ans Varia. 5ans Varia. 10ans Capi.($)
-2,05%-0,32%-7,09%-12,60%-31,05%-10,91%+38,11% - - 1,21 Md
+1,50%+3,84%+22,63%+25,22%+20,56%+48,60%+257,83%+252,74%+55,67% 387 Md
+0,83%+0,53%+5,41%-4,31%+1,74%+31,98%+92,54%+115,16%+88,68% 251 Md
-1,19%+0,84%+12,59%+23,48%+23,48%+52,07%+817,31%+1 312,94%+117,79% 156 Md
+2,72%-1,16%-5,29%-19,09%+4,41%+10,17%+9,94%+32,20%+110,69% 116 Md
+0,11%-1,52%+0,53%-2,21%+2,39%+20,56%+62,30%+81,60%+153,20% 93,08 Md
-9,79%-17,47% - - - - - - - 70,03 Md
-0,73%-4,25%-10,12%-27,76%-12,43%+2,55%+9,97%+33,76%+134,75% 70,92 Md
-1,40%-4,11%-11,02%-15,40%+3,31%-6,19%+92,80%+236,88%+277,62% 67,19 Md
+0,44%-2,14%-7,52%-18,04%-1,72%+16,40%+50,35%+30,53%+256,29% 53,75 Md
-1,62%-21,90%-24,09%-34,60%-39,83%-49,63%+283,03%+1 039,81%+1 687,59% 50,17 Md
-5,53%-24,76%-40,56%+10,72%+15,67%+149,43%+1 356,50%+667,75% - 46,71 Md
-2,63%+5,04%+15,22%-3,35%-21,69%-43,35%+135,67%+158,29%+1 835,29% 35,85 Md
-2,29%+6,90%+6,90%+6,90%+13,60%+24,88%+616,07%+1 971,90%+1 999,02% 35,7 Md
-3,44%-9,27%-11,98%-24,87%+16,01%+43,82%+182,42%+395,00%+523,17% 34,62 Md
-1,68%-5,08%-3,54%-1,64%+1,78%+0,26%+239,00%+597,37%+972,37% 31,51 Md
-2,72%-14,76%-14,72%-23,38%-8,70%-6,86%+341,13%+558,91%+435,62% 30,3 Md
-0,00%-0,97%-1,29%+19,06%-0,46%-8,85%+140,00%+742,57% - 30,96 Md
-1,37%-2,79%+6,45%+8,78%+36,35%+114,72%+831,62%+685,02%+2 687,12% 27,53 Md
-1,55%-3,85%-10,54%-21,22%-10,05%-7,19%+242,09%+758,88%+661,50% 27,1 Md
Moyenne -1,20%-5,70%-4,11%-6,02%+0,70%+20,13%+305,19%+537,30%+749,77% 80,9 Md
Moyenne pondérée par Capi. -0,21%-3,53%+4,02%+2,24%+7,44%+30,08%+277,69%+410,22%+345,15%
Industrie aérospatiale et de défense - Autres
  1. Bourse
  2. Actions
  3. Action CDRE
  4. Secteur Cadre Holdings, Inc.