SNAEXITSnap-On Incorporated
$21.44M - $21.44M =Closed
-74.2K shares (100%)
$83.87M =$117.99M
2.40M left-65.5K (-2.65%)
Madison Square Garden Entertainment Corp
$93.81M =$112.80M
2.88M left-74.0K (-2.51%)
$114.81M - $2.41M =$112.40M
858.7K left-250.6K (-22.59%)
$109.36M - $3.74M =$105.63M
759.8K left-84.7K (-10.03%)
Northern Trust Corporation
$104.46M - $2.89M =$101.57M
1.14M left-95.7K (-7.73%)
Affiliated Managers Group Inc
$92.08M =$98.73M
589.5K left-18.6K (-3.06%)
Jones Lang Lasalle Incorporated
$109.44M - $12.62M =$96.81M
496.3K left-83.2K (-14.35%)
$98.04M - $9.89M =$88.15M
1.31M left-256.4K (-16.38%)
$83.80M =$85.88M
1.63M left-62.9K (-3.72%)
Zebra Technologies Corporation
$90.04M - $12.23M =$77.81M
258.1K left-71.3K (-21.64%)
$82.96M - $5.18M =$77.79M
616.7K left-25.3K (-3.93%)
Charles River Laboratories International, Inc.
$80.34M - $6.71M =$73.63M
271.7K left-68.1K (-20.04%)
$96.20M - $31.66M =$64.54M
9.93M left-3.99M (-28.68%)
First American Financial Corporation
$66.43M - $6.08M =$60.35M
988.5K left-42.3K (-4.11%)
$48.59M - $321.7K =$48.27M
612.0K left-113.5K (-15.65%)
Janus Henderson Group Plc
$57.40M - $13.87M =$43.53M
1.32M left-580.4K (-30.48%)
Simpson Manufacturing Co., Inc.
$37.86M - $10.19M =$27.67M
134.9K left-56.4K (-29.48%)
$26.22M - $2.99M =$23.23M
106.4K left-9.0K (-7.82%)