ALLEXITThe Allstate Corporation
$50.04M - $50.04M =Closed
-527.8K shares (100%)
AMATEXITApplied Materials, Inc.
$87.31M - $87.31M =Closed
-1.57M shares (100%)
HCAEXITHCA Healthcare, Inc.
$27.44M - $27.44M =Closed
-282.9K shares (100%)
NVDAEXITNvidia Corporation
$34.74M - $34.74M =Closed
-150.0K shares (100%)
BTUEXITPeabody Energy Corporation
$21.59M - $21.59M =Closed
-591.4K shares (100%)
QQQEXITInvesco Powershares Qqq Trust, Series 1
$123.66M - $123.66M =Closed
-772.2K shares (100%)
MDYEXITSPDR S&P Dividend ETF
$17.61M - $17.61M =Closed
-500.0K shares (100%)
XLEEXITTechnology Select Sector SPDR Fund
$33.70M - $33.70M =Closed
-500.0K shares (100%)
XLFEXITTechnology Select Sector SPDR Fund
-300.0K shares (100%)
URIEXITUnited Rentals, Inc.
-12.9K shares (100%)
SMHEXITVaneck ETF Trust
$76.85M - $76.85M =Closed
-737.0K shares (100%)
$992.30M - $6.12M =$986.17M
5.08M left-1.14M (-18.28%)
$622.67M - $57.49M =$565.18M
3.39M left-310.0K (-8.38%)
Alibaba Group Holding Limited
$743.82M - $253.47M =$490.35M
2.64M left-1.41M (-34.78%)
$593.88M - $124.40M =$469.47M
6.41M left-1.61M (-20.05%)
Alphabet Inc. (formerly Google Inc.)
$418.75M - $49.47M =$369.28M
331.0K left-74.8K (-18.44%)
$253.32M - $14.32M =$239.00M
4.00M left-150.0K (-3.61%)
Bank of America Corporation
$328.86M - $124.66M =$204.20M
7.24M left-3.72M (-33.94%)
$217.17M - $52.37M =$164.80M
1.65M left-488.0K (-22.88%)
UnitedHealth Group Incorporated
$151.21M - $21.33M =$129.88M
529.4K left-177.2K (-25.08%)