BPEXITBp Plc
$10.57M - $10.57M =Closed
-400.0K shares (100%)
EMREXITEmerson Electric Co
$70.98M - $70.98M =Closed
-737.5K shares (100%)
$34.60M - $34.60M =Closed
-65.5K shares (100%)
PARAEXITParamount Global
$66.67M - $66.67M =Closed
-1.48M shares (100%)
$418.99M - $31.24M =$387.75M
1.14M left-62.5K (-5.19%)
$430.02M - $200.07M =$229.95M
70.0K left-55.0K (-44.00%)
$480.37M - $285.17M =$195.19M
2.75M left-2.90M (-51.35%)
$165.75M - $37.35M =$128.40M
13.38M left-2.92M (-17.94%)
Technology Select Sector SPDR Fund
$125.25M - $10.13M =$115.12M
2.21M left-115.0K (-4.95%)
$113.00M - $16.17M =$96.83M
10.11M left-522.5K (-4.92%)
$83.73M =$93.93M
387.0K left-18.0K (-4.44%)
$101.99M - $14.61M =$87.38M
1.95M left-84.5K (-4.15%)
$78.62M =$84.83M
2.38M left-88.8K (-3.60%)
$84.66M - $785.0K =$83.87M
297.5K left-15.0K (-4.80%)
Alibaba Group Holding Limited
$132.67M - $54.94M =$77.73M
525.0K left-60.0K (-10.26%)
$89.45M - $14.87M =$74.58M
1.24M left-65.0K (-5.00%)
UnitedHealth Group Incorporated
$74.88M - $4.94M =$69.94M
179.0K left-8.0K (-4.28%)
$68.42M - $2.48M =$65.94M
840.0K left-40.0K (-4.55%)