پایا
پایا |
Funds
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Fara Bourse
صندوق سرمایه گذاری قابل معامله ( صندوق سرمایه گذاری در اوراق با درآمد ثابت )
Category:
صندوق سرمایه گذاری قابل معامله
Sub Category:
صندوق سرمایه گذاری در اوراق با درآمد ثابت
Status:
Permitted
Last:
17,334
31.47
Close:
13,185
0.00
Related
Symbol | Last | Volume | Value | Market Value | Asset Type | Date |
---|---|---|---|---|---|---|
Symbol : FATF |
Last : 20,280 85,881 | Volume : 10.581 Million | Value : 694.15 billion | Market Value : - | Asset Type : fund | Date : 00:00 |
Symbol : SGAF |
Last : 4,555 19,324 | Volume : 9.883 Million | Value : 145.96 billion | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : SSNF |
Last : 26.00 10,103 | Volume : 37,755 | Value : 380.44 Million | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : FKOF |
Last : 18,266 76,000 | Volume : 2.26 Million | Value : 130.5 billion | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : FPAF |
Last : 22.00 10,129 | Volume : 10.521 Million | Value : 106.34 billion | Market Value : - | Asset Type : fund | Date : 00:00 |
Symbol : FKNF |
Last : 16,320 67,858 | Volume : 9.396 Million | Value : 484.27 billion | Market Value : - | Asset Type : fund | Date : 00:00 |
Symbol : امینیکم |
Last : 5.00 10,002 | Volume : 38.096 Million | Value : 380.85 billion | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : KMND |
Last : 11.00 10,123 | Volume : 24.747 Million | Value : 250.25 billion | Market Value : - | Asset Type : fund | Date : 00:00 |
Symbol : FIRO |
Last : 13,500 55,434 | Volume : 3.834 Million | Value : 160.76 billion | Market Value : - | Asset Type : fund | Date : 00:00 |
Symbol : AVSF |
Last : 10,184 44,066 | Volume : 5.468 Million | Value : 185.25 billion | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : MAOF |
Last : 8,236 30,199 | Volume : 54,589 | Value : 1.2 billion | Market Value : - | Asset Type : fund | Date : 2025-02-15 |
Symbol : DAAF |
Last : 3,676 15,417 | Volume : 113,587 | Value : 1.33 billion | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : ARGH |
Last : 18.00 10,131 | Volume : 9.91 Million | Value : 100.22 billion | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : SDVI |
Last : 8,242 37,992 | Volume : 3.962 Million | Value : 117.88 billion | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : AFRN |
Last : 7,967 32,654 | Volume : 36.003 Million | Value : 888.81 billion | Market Value : - | Asset Type : fund | Date : 00:00 |
Symbol : YGHT |
Last : 6,864 28,769 | Volume : 20.399 Million | Value : 446.85 billion | Market Value : - | Asset Type : fund | Date : 00:00 |
Symbol : GJAF |
Last : 4,816 26,166 | Volume : 1,356 | Value : 28.95 Million | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : DRKF |
Last : 5,608 24,974 | Volume : 5.877 Million | Value : 113.82 billion | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : MEYF |
Last : 30.00 10,070 | Volume : 4.394 Million | Value : 44.38 billion | Market Value : - | Asset Type : fund | Date : 2021-01-03 |
Symbol : گنجینه |
Last : 3,255 13,673 | Volume : 11.564 Million | Value : 120.47 billion | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : فردا |
Last : 6,235 25,781 | Volume : 561,279 | Value : 10.97 billion | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : کارین |
Last : 1,941 11,948 | Volume : 34.776 Million | Value : 348.01 billion | Market Value : - | Asset Type : fund | Date : 00:00 |
Symbol : سپیدما |
Last : 4,621 22,863 | Volume : 699,314 | Value : 12.76 billion | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : سیناد |
Last : 3,959 16,922 | Volume : 948,155 | Value : 12.29 billion | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : کامیاب |
Last : 5,761 23,742 | Volume : 979,573 | Value : 17.61 billion | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : همای |
Last : 8.00 10,016 | Volume : 68.345 Million | Value : 683.97 billion | Market Value : - | Asset Type : fund | Date : 00:00 |
Symbol : مانی |
Last : 3,978 21,756 | Volume : 1.29 Million | Value : 22.93 billion | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : ثبات |
Last : 5,489 22,818 | Volume : 7.09 Million | Value : 122.87 billion | Market Value : - | Asset Type : fund | Date : 00:00 |
Symbol : کارا |
Last : 5,327 22,429 | Volume : 35.868 Million | Value : 613.42 billion | Market Value : - | Asset Type : fund | Date : 00:00 |
Symbol : یارا |
Last : 5,197 21,761 | Volume : 1.165 Million | Value : 19.3 billion | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : هامرز |
Last : 17.00 10,130 | Volume : 6.135 Million | Value : 62.04 billion | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : پاداش |
Last : 4,048 17,497 | Volume : 16.461 Million | Value : 221.39 billion | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : رشد |
Last : 3,158 13,363 | Volume : 593,253 | Value : 6.05 billion | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : نشان |
Last : 4,788 19,557 | Volume : 1 | Value : 14,769 | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : آفاق |
Last : 4.00 10,013 | Volume : 1.284 Million | Value : 12.86 billion | Market Value : - | Asset Type : fund | Date : 00:00 |
Symbol : نخل |
Last : 7.00 10,014 | Volume : 3.723 Million | Value : 37.26 billion | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : آوند |
Last : 4,470 18,635 | Volume : 21.771 Million | Value : 308.4 billion | Market Value : - | Asset Type : fund | Date : 00:00 |
Symbol : لبخند |
Last : 4,557 18,713 | Volume : 35.284 Million | Value : 499.48 billion | Market Value : - | Asset Type : fund | Date : 00:00 |
Symbol : آلا |
Last : 3,583 15,393 | Volume : 7.46 Million | Value : 88.1 billion | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : آکام |
Last : 23.00 10,099 | Volume : 278,038 | Value : 2.8 billion | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : اعتبار |
Last : 4,515 18,027 | Volume : 6.18 Million | Value : 83.5 billion | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : اونیکس |
Last : 3,838 15,165 | Volume : 2.321 Million | Value : 26.29 billion | Market Value : - | Asset Type : fund | Date : 00:00 |
Symbol : بازده |
Last : 3,516 16,768 | Volume : 204,894 | Value : 2.72 billion | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : توسکا |
Last : 3,423 14,818 | Volume : 5.116 Million | Value : 58.29 billion | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : درین |
Last : 3,430 16,129 | Volume : 20,570 | Value : 261.22 Million | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : دیبا |
Last : 3,459 16,563 | Volume : 57,100 | Value : 748.23 Million | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : رابین |
Last : 4,216 17,332 | Volume : 4.364 Million | Value : 57.24 billion | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : رایکا |
Last : 3,663 17,431 | Volume : 1.318 Million | Value : 18.15 billion | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : ساحل |
Last : 4,550 18,654 | Volume : 2.916 Million | Value : 41.13 billion | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : سام |
Last : 3,167 13,174 | Volume : 28.094 Million | Value : 281.14 billion | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : صنهال |
Last : 3,561 15,835 | Volume : 257,507 | Value : 3.16 billion | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : فاخر |
Last : 3,744 15,413 | Volume : 9.812 Million | Value : 114.5 billion | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : نیلی |
Last : 14.00 10,121 | Volume : 99,399 | Value : 1000 Million | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : کاج |
Last : 4,245 17,969 | Volume : 6.105 Million | Value : 83.78 billion | Market Value : - | Asset Type : fund | Date : 2025-02-18 |
Symbol : تداوم |
Last : 3,910 16,176 | Volume : 117,570 | Value : 1.44 billion | Market Value : - | Asset Type : fund | Date : 2025-02-18 |