CMAEXITComerica Inc
$317.7K - $317.7K =Closed
-7.5K shares (100%)
Apollo Global Management, Inc.
$604.83M =$609.50M
6.79M left-1.08M (-13.77%)
$424.00M - $13.47M =$410.53M
2.12M left-28.0K (-1.31%)
$348.89M - $88.14M =$260.75M
882.9K left-264.4K (-23.04%)
$245.46M - $4.22M =$241.25M
1.66M left-24.2K (-1.43%)
Raymond James Financial Inc
$224.59M - $9.60M =$214.99M
2.14M left-23.6K (-1.09%)
$233.81M - $21.39M =$212.42M
5.30M left-53.0K (-0.99%)
$168.36M =$187.72M
6.69M left-104.2K (-1.53%)
$233.30M - $47.19M =$186.10M
418.6K left-105.2K (-20.09%)
$173.25M - $43.24M =$130.02M
1.21M left-213.9K (-15.03%)
Asbury Automotive Group Inc
$66.49M - $3.16M =$63.33M
275.3K left-1.3K (-0.47%)
$26.13M =$26.75M
2.23M left-19.2K (-0.85%)
$19.95M - $1.82M =$18.12M
119.7K left-1.5K (-1.21%)
UnitedHealth Group Incorporated
$531.6K - $173.6K =$358.0K
710 left-396 (-35.80%)
First American Financial Corporation
$364.9K - $26.0K =$338.9K
6.0K left-400 (-6.25%)