BSXEXITBoston Scientific Corporation
$56.88M - $56.88M =Closed
-1.14M shares (100%)
CTLTEXITCatalent Inc
$78.93M - $78.93M =Closed
-1.20M shares (100%)
CRLEXITCharles River Laboratories International, Inc.
$79.54M - $79.54M =Closed
-394.1K shares (100%)
EQHEXITEquitable Holdings Inc
$101.29M - $101.29M =Closed
-3.99M shares (100%)
FRCEXITFirst Republic Bank
-276.3K shares (100%)
INSPEXITInspire Medical Systems Inc
$81.12M - $81.12M =Closed
-346.6K shares (100%)
NTLAEXITIntellia Therapeutics Inc
$58.50M - $58.50M =Closed
-1.57M shares (100%)
MRSHEXITMarsh & Mclennan Companies Inc
$42.88M - $42.88M =Closed
-257.4K shares (100%)
MOHEXITMolina Healthcare Inc
$159.04M - $159.04M =Closed
-594.6K shares (100%)
OPCHEXITOption Care Health Inc
$34.65M - $34.65M =Closed
-1.09M shares (100%)
SNOWEXITSnowflake Inc.
$59.06M - $59.06M =Closed
-382.8K shares (100%)
XYZEXITBlock Inc
$161.61M - $161.61M =Closed
-2.35M shares (100%)
TJXEXITThe Tjx Companies Inc
$32.47M - $32.47M =Closed
-414.4K shares (100%)
TALSEXITTalaris Therapeutics Inc
-3.29M shares (100%)
TRVEXITTravelers Companies, Inc.
$64.85M - $64.85M =Closed
-378.3K shares (100%)
VSTMEXITVerastem Inc
-9.22M shares (100%)
UnitedHealth Group Incorporated
$992.43M - $130.03M =$862.40M
1.79M left-305.7K (-14.56%)
$823.33M - $39.20M =$784.13M
7.14M left-1.47M (-17.12%)
$651.20M =$758.41M
75.24M left-13.00M (-14.73%)
$684.55M =$744.58M
2.59M left-635.4K (-19.67%)