ARKKEXITArk ETF Trust
$133.54M - $133.54M =Closed
-2.55M shares (100%)
FMCEXITFmc Corp
$20.49M - $20.49M =Closed
-325.0K shares (100%)
GMEXITGeneral Motors Company
-265.0K shares (100%)
HCAEXITHCA Healthcare, Inc.
$31.72M - $31.72M =Closed
-117.2K shares (100%)
MASEXITMasco Corporation
-130.0K shares (100%)
MHKEXITMohawk Industries, Inc.
-95.0K shares (100%)
OCEXITOwens Corning Inc
-25.0K shares (100%)
WHREXITWhirlpool Corp
$10.96M - $10.96M =Closed
-90.0K shares (100%)
$600.16M =$690.49M
3.83M left-122.0K (-3.09%)
$639.27M =$652.12M
1.55M left-150.0K (-8.82%)
$654.83M - $109.76M =$545.06M
1.12M left-727.5K (-39.32%)
$391.22M =$399.37M
442.0K left-348.0K (-44.05%)
$324.14M - $8.20M =$315.94M
2.08M left-225.0K (-9.78%)
Advanced Micro Devices Inc
$296.29M - $2.10M =$294.20M
1.63M left-380.0K (-18.91%)
$164.43M =$173.84M
600.0K left-50.0K (-7.69%)
$144.63M =$167.61M
990.0K left-10.0K (-1.00%)
$231.15M - $65.51M =$165.64M
3.75M left-850.0K (-18.48%)
$134.99M =$135.98M
8.64M left-1.14M (-11.63%)
$92.42M =$111.73M
115.0K left-3.0K (-2.54%)
$369.42M - $264.71M =$104.71M
1.36M left-4.64M (-77.33%)