INTCEXITIntel Corporation
$179.20M - $179.20M =Closed
-8.00M shares (100%)
BEKEEXITKe Holdings Inc
$26.61M - $26.61M =Closed
-1.50M shares (100%)
ORCLEXITOracle Corporation
$32.79M - $32.79M =Closed
-150.0K shares (100%)
Alibaba Group Holding Limited
$801.50M =$1.15B
6.45M left-617.3K (-8.73%)
$592.35M - $43.43M =$548.92M
2.50M left-200.0K (-7.41%)
$266.08M =$337.93M
1.39M left-112.5K (-7.50%)
$317.95M - $15.10M =$302.85M
1.87M left-110.0K (-5.56%)
$295.24M - $23.52M =$271.72M
370.0K left-30.0K (-7.50%)
$348.86M - $104.94M =$243.92M
1.25M left-555.0K (-30.83%)
$248.71M - $9.15M =$239.55M
462.5K left-37.5K (-7.50%)
$209.32M =$237.91M
1.80M left-200.0K (-10.00%)
$256.57M - $20.76M =$235.81M
2.41M left-343.0K (-12.47%)
$228.48M - $10.73M =$217.75M
6.22M left-775.0K (-11.07%)
Deutsche Bank Aktiengesellschaft
$117.12M =$134.20M
3.79M left-210.0K (-5.25%)
$92.03M =$133.30M
1.63M left-125.0K (-7.14%)
$126.08M - $2.82M =$123.26M
5.60M left-2.40M (-30.00%)
L3harris Technologies Inc
$87.79M =$91.62M
300.0K left-50.0K (-14.29%)
$85.42M - $167.1K =$85.25M
509.5K left-75.5K (-12.91%)
$101.68M - $18.02M =$83.66M
500.0K left-325.0K (-39.39%)
UnitedHealth Group Incorporated
$764.33M - $694.06M =$70.27M
203.5K left-2.25M (-91.69%)