$46.43M - $46.43M =Closed
-4.29M shares (100%)
BFHEXITBread Financial Holdings Inc
$10.99M - $10.99M =Closed
-165.1K shares (100%)
KMXEXITCarmax Inc
$50.98M - $50.98M =Closed
-391.5K shares (100%)
CHKEXITChesapeake Energy Corporation
$23.98M - $23.98M =Closed
-600.0K shares (100%)
DHIEXITD.r. Horton, Inc.
$119.30M - $119.30M =Closed
-1.10M shares (100%)
DKSEXITDick'S Sporting Goods Inc
$20.48M - $20.48M =Closed
-178.1K shares (100%)
FLEXITFoot Locker Inc
-165.9K shares (100%)
GAPEXITThe Gap, Inc.
-494.0K shares (100%)
GMEXITGeneral Motors Company
$131.92M - $131.92M =Closed
-2.25M shares (100%)
EWYEXITiShares Msci South Korea Capped ETF
$23.20M - $23.20M =Closed
-298.0K shares (100%)
PHMEXITPultegroup Inc
$82.88M - $82.88M =Closed
-1.45M shares (100%)
TMUSEXITT-Mobile U.s., Inc.
$147.99M - $147.99M =Closed
-1.28M shares (100%)
Alphabet Inc. (formerly Google Inc.)
$390.63M - $58.27M =$332.37M
119.0K left-16.0K (-11.85%)
$369.99M - $172.09M =$197.90M
890.0K left-210.0K (-19.09%)
$264.32M - $71.59M =$192.73M
7.91M left-2.18M (-21.64%)
$256.16M - $92.59M =$163.57M
2.10M left-650.0K (-23.64%)
Occidental Petroleum Corp
$191.33M - $30.19M =$161.14M
2.84M left-3.76M (-56.97%)
$106.65M =$135.40M
3.94M left-954.9K (-19.53%)
$101.98M =$103.08M
9.21M left-3.18M (-25.66%)
UnitedHealth Group Incorporated
$89.88M - $4.21M =$85.67M
168.0K left-11.0K (-6.15%)