AFSIEXITAmtrust Financial Services Inc
$200.0K - $200.0K =Closed
-19.9K shares (100%)
CAAEXITCalatlantic Group, Inc.
-100.0K shares (100%)
CMGEXITChipotle Mexican Grill Inc
$306.0K - $306.0K =Closed
-1.1K shares (100%)
Frontier Communications Corp
-1.50M shares (100%)
$712.0K - $712.0K =Closed
-25.0K shares (100%)
MCCEXITMedley Capital Corporation
-262.8K shares (100%)
OCSLEXITOaktree Specialty Lending Corporation
-445.0K shares (100%)
$138.16M =$164.31M
113.5K left-4.6K (-3.90%)
$115.71M =$125.12M
1.31M left-29.0K (-2.16%)
$95.89M =$108.13M
3.61M left-77.9K (-2.11%)
Valeant Pharmaceuticals International, Inc.
$140.23M - $54.04M =$86.19M
5.41M left-1.36M (-20.12%)
$92.88M - $7.28M =$85.60M
1.56M left-96.8K (-5.84%)
46634E
JPMorgan Chase & Co.
$82.65M =$84.93M
1.22M left-23.1K (-1.86%)
$89.17M - $7.46M =$81.70M
1.39M left-23.7K (-1.68%)
American Airlines Group Inc
$85.03M - $5.13M =$79.90M
1.54M left-96.5K (-5.90%)
United Airlines Holdings, Inc.
$70.33M - $110.0K =$70.22M
1.01M left-32.7K (-3.13%)
$64.87M =$69.11M
5.28M left-245.2K (-4.44%)
Bank of America Corporation
$69.44M - $2.83M =$66.62M
2.22M left-131.1K (-5.57%)
$73.41M - $10.30M =$63.11M
2.14M left-67.9K (-3.08%)
$66.27M - $3.41M =$62.86M
1.38M left-33.3K (-2.35%)