AETEXITAetna Inc.
$49.18M - $49.18M =Closed
-268.0K shares (100%)
BUDEXITAnheuser-Busch Inbev Sa/nv
$278.97M - $278.97M =Closed
-2.77M shares (100%)
EQHEXITEquitable Holdings, Inc.
$58.81M - $58.81M =Closed
-2.85M shares (100%)
$216.46M - $216.46M =Closed
-890.8K shares (100%)
CPEXITCanadian Pacific Railway Limited
$150.73M - $150.73M =Closed
-823.6K shares (100%)
XRAYEXITDentsply Sirona, Inc.
$43.07M - $43.07M =Closed
-984.0K shares (100%)
DPZEXITDomino'S Pizza Inc
$139.64M - $139.64M =Closed
-494.9K shares (100%)
EFXEXITEquifax Inc
$49.67M - $49.67M =Closed
-397.0K shares (100%)
HBIEXITHanesbrands Inc
$135.82M - $135.82M =Closed
-6.17M shares (100%)
Liberty Media Corporation
$11.85M - $11.85M =Closed
-263.1K shares (100%)
Liberty Media Corporation
$12.04M - $12.04M =Closed
-265.4K shares (100%)
MELIEXITMercadolibre Inc
$64.23M - $64.23M =Closed
-214.9K shares (100%)
MUEXITMicron Technology Inc
$13.63M - $13.63M =Closed
-260.0K shares (100%)
COLEXITRockwell Collins Inc.
$32.21M - $32.21M =Closed
-239.1K shares (100%)
XEXITUnited States Steel Corporation
$222.66M - $222.66M =Closed
-6.41M shares (100%)
10.27M left-723.4K (-6.58%)
United Technologies Corporation
$1.33B - $506.62M =$823.36M
5.89M left-4.75M (-44.64%)
$653.91M - $167.78M =$486.13M
16.62M left-4.98M (-23.04%)
Thermo Fisher Scientific Inc
$513.78M - $55.44M =$458.34M
1.88M left-602.5K (-24.29%)
Liberty Media Corporation
$423.35M - $5.31M =$418.04M
11.24M left-161.3K (-1.41%)