$190.68M - $190.68M =Closed
-1.91M shares (100%)
NXPIEXITNxp Semiconductors N.v.
$139.25M - $139.25M =Closed
-1.42M shares (100%)
ALXNEXITAlexion Pharmaceuticals Inc
$36.47M - $36.47M =Closed
-201.8K shares (100%)
CAREXITAvis Budget Group Inc
$190.44M - $190.44M =Closed
-4.32M shares (100%)
$255.91M - $255.91M =Closed
-1.29M shares (100%)
BALLEXITBall Corporation
$128.57M - $128.57M =Closed
-1.83M shares (100%)
$207.40M - $207.40M =Closed
-513.4K shares (100%)
CIEXITCigna Corporation
$472.20M - $472.20M =Closed
-2.91M shares (100%)
COFEXITCapital One Financial Corporation
$102.27M - $102.27M =Closed
-1.16M shares (100%)
COOEXITThe Cooper Companies Inc
$48.69M - $48.69M =Closed
-273.6K shares (100%)
ESPREXITEsperion Therapeutics Inc
$114.06M - $114.06M =Closed
-1.40M shares (100%)
METEXITMetlife, Inc.
$659.58M - $659.58M =Closed
-11.78M shares (100%)
RCPTEXITReceptos Inc
$219.87M - $219.87M =Closed
-1.16M shares (100%)
TMOEXITThermo Fisher Scientific Inc
$26.93M - $26.93M =Closed
-207.5K shares (100%)
FOXAEXITTwenty-First Century Fox, Inc.
$263.40M - $263.40M =Closed
-8.09M shares (100%)
UHSEXITUniversal Health Services, Inc.
$173.47M - $173.47M =Closed
-1.22M shares (100%)
Walgreens Boots Alliance Inc
$2.08B - $145.37M =$1.93B
23.27M left-1.35M (-5.49%)
Alphabet Inc. (formerly Google Inc.)
$1.48B =$1.62B
2.53M left-201.8K (-7.38%)
Alphabet Inc. (formerly Google Inc.)
$597.31M =$682.45M
1.12M left-25.9K (-2.25%)
Canadian Pacific Railway Limited
$845.40M - $247.92M =$597.49M
4.16M left-1.11M (-21.12%)