$133.05M - $133.05M =Closed
-1.26M shares (100%)
CBIEXITChicago Bridge & Iron Company N.v.
$54.24M - $54.24M =Closed
-1.39M shares (100%)
EQTEXITEqt Corporation
$16.67M - $16.67M =Closed
-319.8K shares (100%)
EXPEXITEagle Materials Inc
$13.00M - $13.00M =Closed
-215.1K shares (100%)
EMNEXITEastman Chemical Co
$47.28M - $47.28M =Closed
-700.3K shares (100%)
FCXEXITFreeport-Mcmoran Inc
$24.08M - $24.08M =Closed
-3.56M shares (100%)
HPEEXITHewlett Packard Enterprise Company
$55.64M - $55.64M =Closed
-3.66M shares (100%)
Nrg Yield Inc (now Clearway Energy Inc)
$921.0K - $921.0K =Closed
-66.2K shares (100%)
NYLDEXITNrg Yield Inc (now Clearway Energy Inc)
$767.0K - $767.0K =Closed
-52.0K shares (100%)
PCLNEXITBooking Holdings Inc
$140.26M - $140.26M =Closed
-110.0K shares (100%)
TYGEXITTortoise Energy Infrastructure Corporation
-47.1K shares (100%)
UALEXITUnited Airlines Holdings, Inc.
$34.44M - $34.44M =Closed
-601.0K shares (100%)
MYLEXITMylan N.v.
$46.16M - $46.16M =Closed
-853.7K shares (100%)
TGPEXITTeekay Lng Partners L.p.
-250.0K shares (100%)
$616.33M - $56.62M =$559.71M
2.72M left-300.0K (-9.92%)
$237.18M =$254.42M
1.41M left-204.1K (-12.64%)
$306.84M - $59.16M =$247.69M
3.17M left-1.36M (-30.06%)
$158.01M =$158.18M
3.35M left-14.1K (-0.42%)
$140.92M - $60.55M =$80.37M
4.50M left-4.95M (-52.36%)
$428.03M - $353.07M =$74.96M
2.38M left-10.20M (-81.05%)