ABEOEXITAbeona Therapeutics Inc
-293.5K shares (100%)
AALEXITAmerican Airlines Group Inc
$184.94M - $184.94M =Closed
-5.76M shares (100%)
AMRXEXITAmneal Pharmaceuticals Inc
$31.84M - $31.84M =Closed
-2.35M shares (100%)
BAEXITBoeing Company (the)
$179.62M - $179.62M =Closed
-557.0K shares (100%)
CPEXITCanadian Pacific Railway Limited
$84.44M - $84.44M =Closed
-475.4K shares (100%)
$34.20M - $34.20M =Closed
-884.4K shares (100%)
CTRPEXITTrip.com Group Limited
-196.3K shares (100%)
DWDPEXITDowdupont Inc
$312.87M - $312.87M =Closed
-5.85M shares (100%)
OVVEXITOvintiv Inc.
$51.98M - $51.98M =Closed
-8.99M shares (100%)
IQEXITIqiyi Inc
$65.84M - $65.84M =Closed
-4.43M shares (100%)
LENEXITLennar Corporation
-250.8K shares (100%)
RJFEXITRaymond James Financial Inc
$185.54M - $185.54M =Closed
-2.49M shares (100%)
CRMEXITSalesforce, Inc.
$708.76M - $708.76M =Closed
-5.17M shares (100%)
SEEEXITSealed Air Corporation
$29.60M - $29.60M =Closed
-849.6K shares (100%)
TMUSEXITT-Mobile U.s., Inc.
$219.64M - $219.64M =Closed
-3.45M shares (100%)
ZEXITZillow Group Inc.
$146.88M - $146.88M =Closed
-4.65M shares (100%)
$1.34B - $185.15M =$1.15B
9.77M left-3.40M (-25.80%)
Alibaba Group Holding Limited
$1.40B - $349.32M =$1.05B
5.74M left-4.45M (-43.67%)
$810.94M - $98.04M =$712.90M
2.00M left-1.03M (-34.01%)
$996.98M - $441.89M =$555.09M
311.7K left-352.1K (-53.04%)