$776.40M - $776.40M =Closed
-4.59M shares (100%)
CSXEXITCsx Corp
-175.5K shares (100%)
$79.54M - $79.54M =Closed
-1.99M shares (100%)
EEMEXITiShares Trust
$428.79M - $428.79M =Closed
-9.10M shares (100%)
MHKEXITMohawk Industries, Inc.
$19.12M - $19.12M =Closed
-69.3K shares (100%)
BTUEXITPeabody Energy Corporation
$23.28M - $23.28M =Closed
-314.1K shares (100%)
LUVEXITSouthwest Airlines Co
-74.3K shares (100%)
VSTEXITVistra Energy Corp
$17.61M - $17.61M =Closed
-961.3K shares (100%)
Alibaba Group Holding Limited
$744.94M - $1.12M =$743.82M
4.05M left-267.6K (-6.19%)
$619.22M - $25.34M =$593.88M
8.02M left-844.0K (-9.52%)
Bank of America Corporation
$506.27M - $177.41M =$328.86M
10.97M left-6.18M (-36.06%)
$201.84M =$217.17M
2.13M left-70.7K (-3.21%)
$234.34M - $18.55M =$215.79M
7.95M left-88.4K (-1.10%)
$277.96M - $72.35M =$205.61M
6.73M left-3.03M (-31.00%)
Invesco Powershares Qqq Trust, Series 1
$903.41M - $779.75M =$123.66M
772.2K left-5.03M (-86.69%)
ETPEnergy Transfer Partners, L.p.
$146.59M - $38.11M =$108.48M
6.69M left-1.49M (-18.24%)
Boston Scientific Corporation
$118.56M - $11.72M =$106.84M
3.91M left-871.9K (-18.23%)
$144.11M - $50.34M =$93.77M
2.72M left-992.7K (-26.71%)
$78.93M - $4.47M =$74.45M
2.46M left-51.6K (-2.06%)
$79.38M - $29.34M =$50.04M
527.8K left-230.2K (-30.37%)