FLTEXITFleetcor Technologies, Inc.
$169.22M - $169.22M =Closed
-647.7K shares (100%)
MDLAEXITMedallia Inc
-50.0K shares (100%)
$19.42M - $19.42M =Closed
-3.68M shares (100%)
YQEXIT17 Education & Technology Group Inc.
$432.0K - $432.0K =Closed
-480.0K shares (100%)
TDGEXITTransdigm Group Inc
-1.76M shares (100%)
$25.85M - $25.85M =Closed
-2.85M shares (100%)
AGCUUEXITAltimeter Growth Corp
$19.15M - $19.15M =Closed
-1.80M shares (100%)
DESPEXITDespegar.com, Corp.
$14.41M - $14.41M =Closed
-1.20M shares (100%)
$3.70B - $849.35M =$2.85B
8.48M left-4.65M (-35.41%)
$1.87B - $687.48M =$1.18B
353.3K left-214.6K (-37.79%)
806.9K left-75.0K (-8.50%)
$1.88B - $826.23M =$1.06B
6.93M left-380.7K (-5.21%)
$929.31M - $173.31M =$756.00M
18.03M left-2.71M (-13.08%)
Procore Technologies Inc.
$851.00M - $220.11M =$630.89M
7.89M left-1.64M (-17.18%)
$597.51M =$603.70M
2.58M left-72.0K (-2.72%)
$1.32B - $844.38M =$472.52M
4.58M left-12.85M (-73.72%)
Apollo Global Management, Inc.
$1.38B - $915.98M =$461.35M
6.37M left-15.99M (-71.52%)
$554.60M - $200.42M =$354.18M
8.21M left-2.33M (-22.10%)
Doubleverify Holdings Inc
$472.86M - $186.93M =$285.93M
8.59M left-5.25M (-37.93%)