AIGEXITAmerican International Group Inc
$66.00M - $66.00M =Closed
-1.21M shares (100%)
$38.42M - $38.42M =Closed
-205.7K shares (100%)
BERYEXITBerry Global Group Inc
$17.13M - $17.13M =Closed
-663.9K shares (100%)
CEEXITCelanese Corp
$50.32M - $50.32M =Closed
-782.8K shares (100%)
$48.47M - $48.47M =Closed
-902.9K shares (100%)
DDEXITDupont De Nemours, Inc.
$37.99M - $37.99M =Closed
-580.6K shares (100%)
EXPEEXITExpedia Group Inc.
$70.66M - $70.66M =Closed
-897.1K shares (100%)
INGREXITIngredion Incorporated
$37.62M - $37.62M =Closed
-501.4K shares (100%)
MWAEXITMueller Water Products, Inc.
$18.29M - $18.29M =Closed
-2.12M shares (100%)
PGEMEXITPly Gem Holdings Inc
-423.0K shares (100%)
PRUEXITPrudential Financial Inc
$65.52M - $65.52M =Closed
-738.1K shares (100%)
ASMLEXITAsml Holding NV
$48.99M - $48.99M =Closed
-525.3K shares (100%)
$405.87M =$431.12M
8.32M left-297.5K (-3.45%)
$260.89M - $257.0K =$260.63M
1.32M left-10.1K (-0.76%)
American Airlines Group Inc
$500.68M - $242.14M =$258.54M
7.29M left-4.37M (-37.48%)
United Airlines Holdings, Inc.
$212.05M =$231.93M
4.96M left-206.2K (-3.99%)
$137.23M =$138.61M
5.79M left-386.8K (-6.26%)
$156.69M - $39.75M =$116.94M
1.16M left-525.4K (-31.16%)
Mgm Resorts International
$95.01M - $34.90M =$60.11M
2.64M left-960.1K (-26.68%)
$53.84M - $14.46M =$39.38M
486.9K left-129.5K (-21.02%)