RCLEXITRoyal Caribbean Group
$56.50M - $56.50M =Closed
-244.9K shares (100%)
Adtalem Global Education Inc
$116.34M - $6.73M =$109.61M
1.09M left-191.4K (-14.95%)
The J. M. Smucker Company
$99.84M =$105.11M
887.7K left-18.9K (-2.09%)
$112.31M - $16.19M =$96.12M
1.46M left-88.1K (-5.69%)
$96.00M - $127.3K =$95.87M
8.02M left-1.16M (-12.66%)
Northern Trust Corporation
$114.85M - $23.16M =$91.69M
929.5K left-191.0K (-17.05%)
$84.32M =$91.24M
4.70M left-59.9K (-1.26%)
Prestige Consumer Healthcare Inc
$89.10M =$89.12M
1.04M left-104.3K (-9.14%)
Affiliated Managers Group Inc
$101.05M - $14.40M =$86.65M
515.7K left-30.8K (-5.63%)
Jones Lang Lasalle Incorporated
$85.03M - $6.42M =$78.60M
317.1K left-18.8K (-5.60%)
$72.61M =$76.52M
9.40M left-1.11M (-10.53%)
$76.99M - $16.46M =$60.53M
477.9K left-18.6K (-3.75%)
First American Financial Corporation
$68.32M - $15.99M =$52.33M
797.4K left-296.8K (-27.12%)
Madison Square Garden Sports Corp.
$69.18M - $18.91M =$50.28M
258.2K left-48.4K (-15.77%)
Zebra Technologies Corporation
$55.53M - $17.05M =$38.47M
136.2K left-7.6K (-5.29%)
$42.20M - $4.55M =$37.66M
541.5K left-40.1K (-6.89%)
$35.82M - $1.58M =$34.24M
225.3K left-39.2K (-14.82%)