IACEXITIac Inc.
$479.70M - $479.70M =Closed
-1.48M shares (100%)
Bright Horizons Family Solutions Inc.
$499.29M =$558.10M
3.67M left-589.4K (-13.84%)
$381.11M =$404.58M
8.10M left-990.5K (-10.89%)
West Pharmaceutical Services Inc
$281.96M =$304.07M
1.11M left-135.1K (-10.88%)
$275.85M =$294.19M
1.19M left-66.6K (-5.29%)
$455.54M - $188.15M =$267.39M
1.05M left-728.7K (-40.99%)
$253.65M =$255.12M
645.7K left-7.6K (-1.16%)
$225.99M - $37.0K =$225.95M
633.3K left-43.7K (-6.45%)
$273.64M - $57.56M =$216.09M
4.27M left-1.15M (-21.27%)
$252.50M - $64.39M =$188.10M
4.51M left-1.50M (-24.93%)
$150.86M =$155.90M
4.38M left-985.5K (-18.37%)
$150.50M =$150.58M
383.1K left-72.8K (-15.97%)
$195.65M - $48.86M =$146.79M
1.44M left-813.3K (-36.14%)
$205.12M - $67.99M =$137.13M
503.0K left-377.4K (-42.86%)
$98.88M =$134.22M
5.33M left-390.5K (-6.82%)
$168.29M - $40.22M =$128.07M
704.5K left-229.1K (-24.54%)
RBC Bearings Incorporated
$139.71M - $13.57M =$126.14M
1.04M left-1.6K (-0.16%)
$168.43M - $51.12M =$117.31M
5.42M left-1.22M (-18.38%)
$118.87M - $14.13M =$104.74M
489.5K left-163.1K (-24.99%)
National Vision Holdings Inc
$85.97M =$101.61M
2.66M left-159.5K (-5.66%)