CHEEXITChemed Corporation
$298.53M - $298.53M =Closed
-550.2K shares (100%)
DDOGEXITDatadog, Inc.
$111.39M - $111.39M =Closed
-858.9K shares (100%)
GSHDEXITGoosehead Insurance Inc
-38.3K shares (100%)
GGGEXITGraco Inc
$93.75M - $93.75M =Closed
-1.18M shares (100%)
JBHTEXITJ.b. Hunt Transport Services Inc
$175.44M - $175.44M =Closed
-1.10M shares (100%)
IREXITIngersoll Rand Inc
$109.11M - $109.11M =Closed
-1.20M shares (100%)
ROLEXITRollins Inc
$166.64M - $166.64M =Closed
-3.42M shares (100%)
$68.98M - $68.98M =Closed
-145.4K shares (100%)
SGRYEXITSurgery Partners Inc
$68.54M - $68.54M =Closed
-2.88M shares (100%)
WCNEXITWaste Connections Inc
$72.19M - $72.19M =Closed
-411.6K shares (100%)
$930.68M - $55.59M =$875.09M
1.41M left-6.9K (-0.49%)
$715.17M - $87.84M =$627.33M
1.13M left-141.4K (-11.14%)
$538.61M =$616.94M
3.38M left-153.6K (-4.35%)
Bright Horizons Family Solutions Inc.
$599.94M =$603.01M
4.30M left-1.15M (-21.04%)
$516.96M - $1.37M =$515.59M
122.4K left-8.1K (-6.20%)
$468.35M - $7.92M =$460.43M
16.26M left-1.91M (-10.51%)
SS&C Technologies Holdings, Inc.
$232.99M =$242.18M
3.26M left-454.2K (-12.22%)
$216.34M =$223.04M
666.9K left-218.1K (-24.64%)
$263.06M - $41.50M =$221.57M
4.23M left-628.8K (-12.95%)
$184.60M - $15.18M =$169.42M
2.11M left-680.7K (-24.36%)