$38.48M - $38.48M =Closed
-1.17M shares (100%)
ABXEXITBarrick Mining Corporation
$57.84M - $57.84M =Closed
-1.97M shares (100%)
CBSEXITCbs Corp
$167.42M - $167.42M =Closed
-3.59M shares (100%)
CVHEXITCoventry Health Care Inc.
$38.88M - $38.88M =Closed
-826.7K shares (100%)
GMCREXITKeurig Green Mountain Inc
$71.99M - $71.99M =Closed
-1.27M shares (100%)
HESEXITHess Corporation
$89.15M - $89.15M =Closed
-1.25M shares (100%)
MSFTEXITMicrosoft Corporation
$173.88M - $173.88M =Closed
-6.08M shares (100%)
NBHCEXITNational Bank Holdings Corporation
-332.7K shares (100%)
RJETEXITRepublic Airways Holdings Inc.
$11.36M - $11.36M =Closed
-984.0K shares (100%)
SEXITSprint Nextel Corporation
$133.44M - $133.44M =Closed
-21.49M shares (100%)
SYMMEXITSymmetricom, Inc.
-549.0K shares (100%)
TSRAEXITTessera Technologies Inc
$13.04M - $13.04M =Closed
-695.6K shares (100%)
VMEDEXITVirgin Media Inc
$240.93M - $240.93M =Closed
-4.92M shares (100%)
WDCEXITWestern Digital Corp
$30.17M - $30.17M =Closed
-600.0K shares (100%)
STXEXITSeagate Technology Holdings Plc
$197.13M - $197.13M =Closed
-5.39M shares (100%)
$589.01M - $21.16M =$567.85M
17.05M left-4.12M (-19.48%)
Marvell Technology Group Ltd
$547.55M - $28.93M =$518.63M
44.29M left-7.51M (-14.50%)
$510.56M - $149.98M =$360.58M
4.97M left-3.21M (-39.24%)
$257.96M =$304.74M
9.24M left-122.4K (-1.31%)
Computer Sciences Corporation
$291.26M - $111.50M =$179.76M
4.11M left-1.81M (-30.58%)