Alphabet Inc. (formerly Google Inc.)
$189.95M - $189.95M =Closed
-342.4K shares (100%)
$55.13M - $55.13M =Closed
-843.6K shares (100%)
MUEXITMicron Technology Inc
$96.40M - $96.40M =Closed
-3.55M shares (100%)
QQQEXITInvesco Powershares Qqq Trust, Series 1
$413.22M - $413.22M =Closed
-3.91M shares (100%)
$369.12M =$379.62M
4.18M left-722.1K (-14.72%)
$358.53M - $94.24M =$264.28M
229.5K left-78.4K (-25.47%)
$228.79M - $36.66M =$192.14M
1.11M left-22.0K (-1.94%)
Alphabet Inc. (formerly Google Inc.)
$250.87M - $69.19M =$181.69M
349.1K left-108.9K (-23.78%)
$210.03M - $34.64M =$175.39M
4.27M left-402.0K (-8.61%)
$183.42M - $20.15M =$163.27M
1.66M left-165.0K (-9.03%)
$88.56M - $427.0K =$88.13M
2.51M left-337.3K (-11.87%)
United Airlines Holdings, Inc.
$266.88M - $186.47M =$80.41M
1.52M left-2.45M (-61.78%)
$63.08M =$70.42M
860.7K left-50.0K (-5.49%)
$115.10M - $52.30M =$62.80M
2.35M left-1.96M (-45.38%)
$50.54M - $1.95M =$48.59M
1.75M left-144.6K (-7.64%)
$46.61M - $14.34M =$32.27M
895.1K left-97.8K (-9.85%)
$24.63M =$32.06M
1.65M left-55.0K (-3.23%)
Regions Financial Corporation
$48.59M - $17.14M =$31.45M
3.04M left-2.11M (-40.97%)
$933.65M - $928.95M =$4.70M
22.9K left-4.50M (-99.49%)