AGLEXITAgilon Health Inc
-976.1K shares (100%)
DASHEXITDoordash, Inc.
$40.03M - $40.03M =Closed
-290.6K shares (100%)
ITEXITGartner Inc
$70.97M - $70.97M =Closed
-148.9K shares (100%)
$32.09M - $32.09M =Closed
-601.6K shares (100%)
IWMEXITiShares Trust
$13.90M - $13.90M =Closed
-66.1K shares (100%)
PCTYEXITPaylocity Holding Corp
$123.27M - $123.27M =Closed
-717.2K shares (100%)
SPYEXITSPDR S&P 500 ETF Trust
-14.3K shares (100%)
TDYEXITTeledyne Technologies, Inc.
$94.29M - $94.29M =Closed
-219.6K shares (100%)
$927.07M =$930.68M
1.42M left-10.2K (-0.71%)
$684.93M - $70.69M =$614.25M
2.94M left-161.5K (-5.20%)
$683.80M - $200.70M =$483.10M
819.1K left-272.3K (-24.95%)
The Descartes Systems Group Inc.
$332.70M =$334.67M
3.46M left-178.9K (-4.92%)
$366.04M - $67.51M =$298.53M
550.2K left-20.0K (-3.51%)
$406.53M - $160.72M =$245.81M
1.39M left-693.9K (-33.30%)
SS&C Technologies Holdings, Inc.
$305.21M - $72.22M =$232.99M
3.72M left-1.02M (-21.59%)
$356.81M - $163.17M =$193.64M
651.3K left-217.2K (-25.01%)
J.b. Hunt Transport Services Inc
$642.08M - $466.64M =$175.44M
1.10M left-2.13M (-65.97%)
$191.42M - $21.46M =$169.96M
3.12M left-927.6K (-22.90%)
$159.14M =$166.64M
3.42M left-24.0K (-0.70%)
$313.33M - $160.81M =$152.52M
316.6K left-242.5K (-43.37%)