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EAGLE ASSET MANAGEMENT INC > CNMD

DateNameTickerSharesChangeValueChangePrice
06/30/2023CONMED CorpCNMD118,9468,68616,163,571,0004,712,571,000$135,889.99
03/31/2023CONMED CorpCNMD110,2603,86411,451,000,0001,902,000,000$103,854.53
12/31/2022CONMED CorpCNMD106,39615,5889,549,000,0009,541,720,000$89,749.61
09/30/2022CONMED CorpCNMD90,808-355,5477,280,000-35,462,000$80.17
06/30/2022CONMED CorpCNMD446,355-65,54342,742,000-33,300,000$95.76
03/31/2022CONMED CorpCNMD511,898-4,32776,042,0002,057,000$148.55
12/31/2021CONMED CorpCNMD516,225-17,17673,985,0004,201,000$143.32
09/30/2021CONMED CorpCNMD533,401-27,25669,784,000-7,267,000$130.83
06/30/2021CONMED CorpCNMD560,657-110,69677,051,000-9,909,000$137.43
03/31/2021CONMED CorpCNMD671,35322,00386,960,00014,233,000$129.53
12/31/2020CONMED CorpCNMD649,350194,62272,727,00037,659,000$112.00
09/30/2020CONMED CorpCNMD454,728-2,38835,068,0003,340,000$77.12
06/30/2020CONMED CorpCNMD457,11617,15731,728,0006,532,000$69.41
03/31/2020CONMED CorpCNMD439,95931,46425,196,000-20,485,000$57.27
12/31/2019CONMED CorpCNMD408,49550,26445,681,00011,238,000$111.83
09/30/2019CONMED CorpCNMD358,231236,68034,443,00024,042,000$96.15
06/30/2019CONMED CorpCNMD121,55128,80010,401,0002,686,000$85.57
03/31/2019CONMED CorpCNMD92,75192,7517,715,0007,715,000$83.18
09/30/2014CONMED CorpCNMD0-309,0200-13,643,000 
06/30/2014CONMED CorpCNMD309,020309,02013,643,00013,643,000$44.15
03/31/2014CONMED CorpCNMD318,964318,96413,858,00013,858,000$43.45
09/30/2002CONMED CorpCNMD0-14,8500-332,000 
06/30/2002CONMED CorpCNMD14,85014,850332,000332,000$22.36
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