AETEXITAetna Inc.
$117.45M - $117.45M =Closed
-961.7K shares (100%)
CIEXITCigna Corporation
$64.15M - $64.15M =Closed
-501.2K shares (100%)
CTRPEXITTrip.com Group Limited
$264.97M - $264.97M =Closed
-6.43M shares (100%)
DVAEXITDaVita Inc.
$356.58M - $356.58M =Closed
-4.61M shares (100%)
HCAEXITHCA Healthcare, Inc.
$83.90M - $83.90M =Closed
-1.09M shares (100%)
HIGEXITThe Hartford Insurance Group, Inc.
$159.81M - $159.81M =Closed
-3.60M shares (100%)
ICEEXITIntercontinental Exchange Inc
$290.13M - $290.13M =Closed
-1.13M shares (100%)
MRSHEXITMarsh & Mclennan Companies Inc
$174.72M - $174.72M =Closed
-2.55M shares (100%)
NRGEXITNrg Energy Inc
$53.40M - $53.40M =Closed
-3.56M shares (100%)
NWLEXITNewell Brands Inc
$482.62M - $482.62M =Closed
-9.94M shares (100%)
PXDEXITPioneer Natural Resources Co
$206.94M - $206.94M =Closed
-1.37M shares (100%)
SCEXITSantander Consumer USA Holdings Inc.
$10.89M - $10.89M =Closed
-1.05M shares (100%)
AGNEXITAllergan Plc
$448.25M - $448.25M =Closed
-1.94M shares (100%)
$76.90M - $76.90M =Closed
-704.0K shares (100%)
TYCEXITTyco International Plc
$158.00M - $158.00M =Closed
-3.71M shares (100%)
$2.35B =$2.45B
2.93M left-349.7K (-10.66%)
$2.30B =$2.40B
18.75M left-1.40M (-6.93%)
Teva Pharmaceutical Industries Ltd
$1.39B - $487.54M =$905.67M
19.68M left-8.05M (-29.03%)
$1.59B - $802.15M =$785.99M
4.56M left-5.66M (-55.42%)