CSALEXITCommunications Sales & Leasing Inc.
$863.0K - $863.0K =Closed
-33.9K shares (100%)
Fortress Investment Group LLC
-927.0K shares (100%)
NRFEXITNorthstar Realty Finance Corp.
-251.4K shares (100%)
RDNEXITRadian Group Inc
$27.82M - $27.82M =Closed
-1.55M shares (100%)
$49.37M - $49.37M =Closed
-1.61M shares (100%)
TPHEXITTri Pointe Group Inc
$22.85M - $22.85M =Closed
-1.99M shares (100%)
TMHCEXITTaylor Morrison Home Corporation
$42.20M - $42.20M =Closed
-2.19M shares (100%)
$366.23M - $61.65M =$304.58M
2.12M left-1.04M (-32.95%)
$69.06M =$80.55M
1.57M left-35.1K (-2.18%)
$91.32M - $11.73M =$79.59M
1.73M left-124.7K (-6.72%)
United Airlines Holdings, Inc.
$91.59M - $12.92M =$78.67M
1.11M left-143.0K (-11.38%)
American Airlines Group Inc
$89.53M - $15.06M =$74.47M
1.76M left-157.0K (-8.19%)
46634E
JPMorgan Chase & Co.
$76.80M - $3.90M =$72.90M
1.57M left-160.5K (-9.25%)
Mgic Investment Corporation
$78.72M - $8.63M =$70.09M
6.92M left-806.4K (-10.44%)
$63.79M =$67.58M
2.87M left-601.0K (-17.32%)
$71.07M - $7.72M =$63.35M
5.36M left-86.2K (-1.58%)
Bank of America Corporation
$77.87M - $15.05M =$62.81M
2.66M left-860.6K (-24.43%)
$67.18M - $8.46M =$58.72M
6.15M left-100.6K (-1.61%)
$54.21M - $8.13M =$46.07M
770.2K left-141.9K (-15.56%)
$40.58M - $12.21M =$28.37M
1.26M left-348.5K (-21.69%)