AERIEXITAerie Pharmaceuticals Inc
-169.8K shares (100%)
AREXITAntero Resources Corp
-150.0K shares (100%)
AMATEXITApplied Materials, Inc.
$13.02M - $13.02M =Closed
-250.0K shares (100%)
CBSEXITCbs Corp
$52.10M - $52.10M =Closed
-898.3K shares (100%)
CHKEXITChesapeake Energy Corporation
-766.0K shares (100%)
GMEXITGeneral Motors Company
$10.10M - $10.10M =Closed
-250.0K shares (100%)
HAINEXITHain Celestial Group Inc
$31.17M - $31.17M =Closed
-757.5K shares (100%)
KMIEXITKinder Morgan Inc
$65.36M - $65.36M =Closed
-3.41M shares (100%)
PNCEXITThe Pnc Financial Services Group Inc
$124.33M - $124.33M =Closed
-922.5K shares (100%)
BTUEXITPeabody Energy Corporation
-216.5K shares (100%)
RRCEXITRange Resources Corporation
-150.0K shares (100%)
TERPEXITTerraform Power Inc
$113.06M - $113.06M =Closed
-8.55M shares (100%)
WHREXITWhirlpool Corp
$67.50M - $67.50M =Closed
-366.0K shares (100%)
Alphabet Inc. (formerly Google Inc.)
$544.77M - $172.54M =$372.24M
355.7K left-212.3K (-37.37%)
ETPEnergy Transfer Partners, L.p.
$218.57M - $71.98M =$146.59M
8.18M left-3.77M (-31.55%)
$289.29M - $145.18M =$144.11M
3.72M left-3.72M (-50.03%)
$129.29M =$130.91M
761.5K left-170.4K (-18.29%)
UnitedHealth Group Incorporated
$131.02M - $602.0K =$130.42M
591.6K left-77.4K (-11.57%)
Thermo Fisher Scientific Inc
$112.01M - $3.40M =$108.61M
572.0K left-20.0K (-3.38%)
$164.78M - $73.94M =$90.84M
988.0K left-1.14M (-53.62%)