AMLPEXITAlps ETF Trust
$20.78M - $20.78M =Closed
-6.04M shares (100%)
BKLNEXITInvesco Exchange-Traded Fund Trust
-150.0K shares (100%)
XLUEXITTechnology Select Sector SPDR Fund
$15.04M - $15.04M =Closed
-271.5K shares (100%)
SEXITSprint Corporation
$55.00M - $55.00M =Closed
-6.38M shares (100%)
AGNEXITAllergan Plc
$123.08M - $123.08M =Closed
-695.0K shares (100%)
IEXITIntelsat S.a.
$15.52M - $15.52M =Closed
-10.15M shares (100%)
$487.43M =$620.74M
225.0K left-25.0K (-10.00%)
$402.49M =$507.05M
2.23M left-180.0K (-7.46%)
Alphabet Inc. (formerly Google Inc.)
$419.77M =$472.15M
334.0K left-27.0K (-7.48%)
$74.93M =$107.66M
15.12M left-1.17M (-7.17%)
$95.75M =$104.66M
230.0K left-25.0K (-9.80%)
$70.97M =$89.89M
206.5K left-16.5K (-7.40%)
$101.95M - $22.62M =$79.33M
8.94M left-2.40M (-21.13%)
$55.24M =$63.12M
200.0K left-33.0K (-14.16%)
$37.68M =$47.02M
515.5K left-41.5K (-7.45%)
UnitedHealth Group Incorporated
$62.34M - $22.53M =$39.82M
135.0K left-115.0K (-46.00%)
$19.31M =$20.85M
1.12M left-90.0K (-7.44%)
$22.01M - $14.45M =$7.56M
7.0K left-35.0K (-83.33%)
$18.53M - $13.10M =$5.43M
14.0K left-45.0K (-76.27%)