$27.07M - $27.07M =Closed
-10.66M shares (100%)
$107.89M - $107.89M =Closed
-3.56M shares (100%)
EMCEXITEmc Corp
$107.82M - $107.82M =Closed
-4.22M shares (100%)
FCBEXITFcb Financial Holdings, Inc.
$15.05M - $15.05M =Closed
-550.0K shares (100%)
KEYSEXITKeysight Technologies, Inc.
$164.44M - $164.44M =Closed
-4.43M shares (100%)
LTMEXITLife Time Fitness Inc
$128.51M - $128.51M =Closed
-1.81M shares (100%)
NOKEXITNokia Corporation
$48.89M - $48.89M =Closed
-6.45M shares (100%)
$16.61M - $16.61M =Closed
-740.0K shares (100%)
MRVLEXITMarvell Technology Group Ltd
$133.02M - $133.02M =Closed
-9.05M shares (100%)
$925.41M =$925.96M
7.38M left-54.6K (-0.73%)
$598.89M =$743.10M
24.84M left-109.3K (-0.44%)
Citizens Financial Group Inc
$304.33M =$342.98M
12.56M left-53.4K (-0.42%)
Chicago Bridge & Iron Company N.v.
$332.59M =$336.44M
6.72M left-28.2K (-0.42%)
$254.74M =$273.07M
5.88M left-32.7K (-0.55%)
$202.10M =$215.47M
6.51M left-44.0K (-0.67%)
On Semiconductor Corporation
$212.29M - $9.99M =$202.30M
17.31M left-224.9K (-1.28%)
$116.24M =$133.15M
1.64M left-18.3K (-1.11%)
$171.69M - $44.36M =$127.33M
1.60M left-946.3K (-37.19%)
Spirit Aerosystems Holdings, Inc.
$115.08M =$117.75M
2.14M left-67.4K (-3.06%)
Take-Two Interactive Software, Inc.
$119.75M - $5.11M =$114.64M
4.16M left-546.3K (-11.61%)