AIGEXITAmerican International Group Inc
$516.86M - $516.86M =Closed
-10.11M shares (100%)
CAREXITAvis Budget Group Inc
$40.99M - $40.99M =Closed
-278.7K shares (100%)
BAEXITBoeing Company (the)
$190.21M - $190.21M =Closed
-1.39M shares (100%)
BKNGEXITBooking Holdings Inc
$156.10M - $156.10M =Closed
-89.3K shares (100%)
CLDXEXITCelldex Therapeutics, Inc.
$63.03M - $63.03M =Closed
-2.34M shares (100%)
CNCEXITCentene Corp
$701.74M - $701.74M =Closed
-8.29M shares (100%)
COUPEXITCoupa Software Inc
$80.79M - $80.79M =Closed
-1.41M shares (100%)
DISEXITWalt Disney Co. (the)
$164.40M - $164.40M =Closed
-1.74M shares (100%)
LRCXEXITLam Research Corp
$295.76M - $295.76M =Closed
-694.0K shares (100%)
NUVLEXITNuvalent, Inc.
$15.05M - $15.05M =Closed
-1.11M shares (100%)
PRCTEXITProcept Biorobotics Corporation
$50.51M - $50.51M =Closed
-1.54M shares (100%)
WDAYEXITWorkday, Inc.
$149.18M - $149.18M =Closed
-1.07M shares (100%)
ZNTLEXITZentalis Pharmaceuticals Inc
$56.95M - $56.95M =Closed
-2.03M shares (100%)
$190.03M - $190.03M =Closed
-704.6K shares (100%)
$741.94M - $88.40M =$653.54M
3.59M left-181.0K (-4.80%)
$726.33M - $222.88M =$503.45M
1.77M left-531.7K (-23.10%)
$1.23B - $787.72M =$446.06M
3.32M left-5.85M (-63.75%)
$520.06M - $82.84M =$437.22M
10.88M left-1.49M (-12.04%)
$339.30M =$434.50M
16.40M left-187.5K (-1.13%)
$755.54M - $325.33M =$430.21M
1.78M left-1.30M (-42.18%)