AMLPEXITAlps ETF Trust
-204.0K shares (100%)
ARKKEXITArk ETF Trust
$20.17M - $20.17M =Closed
-500.0K shares (100%)
DISEXITWalt Disney Co. (the)
$30.04M - $30.04M =Closed
-300.0K shares (100%)
HCAEXITHCA Healthcare, Inc.
$37.57M - $37.57M =Closed
-142.5K shares (100%)
MTCHEXITMatch Group Inc
$20.15M - $20.15M =Closed
-525.0K shares (100%)
CRMEXITSalesforce, Inc.
$57.94M - $57.94M =Closed
-290.0K shares (100%)
XLFEXITTechnology Select Sector SPDR Fund
$42.34M - $42.34M =Closed
-1.32M shares (100%)
SYYEXITSysco Corporation
$11.58M - $11.58M =Closed
-150.0K shares (100%)
$31.12M - $31.12M =Closed
-150.0K shares (100%)
$127.24M - $3.01M =$124.23M
9.78M left-421.6K (-4.13%)
$81.37M =$84.73M
2.06M left-490.0K (-19.22%)
$104.94M - $24.69M =$80.25M
5.00M left-1.00M (-16.67%)
Constellation Energy Corp
$164.06M - $118.29M =$45.77M
500.0K left-1.59M (-76.08%)
Chesapeake Energy Corporation
$19.24M - $2.26M =$16.99M
203.0K left-50.1K (-19.78%)
Enterprise Products Partners L.p.
$13.42M - $346.6K =$13.07M
496.0K left-22.0K (-4.25%)
182.3K left-10.0K (-5.20%)