BKNGEXITBooking Holdings Inc
$126.36M - $126.36M =Closed
-30.0K shares (100%)
DVNEXITDevon Energy Corporation
$62.98M - $62.98M =Closed
-1.61M shares (100%)
The Charles Schwab Corporation
$202.86M =$207.23M
2.80M left-330.0K (-10.54%)
Cognizant Technology Solutions Corp
$200.67M - $16.11M =$184.56M
2.40M left-200.0K (-7.69%)
$212.56M - $30.09M =$182.47M
1.20M left-50.0K (-4.00%)
$200.63M - $19.71M =$180.92M
950.0K left-250.0K (-20.83%)
$189.07M - $37.60M =$151.47M
5.50M left-1.60M (-22.54%)
$159.25M - $12.02M =$147.22M
1.50M left-300.0K (-16.67%)
$144.30M - $13.62M =$130.68M
950.0K left-100.0K (-9.52%)
$156.49M - $29.57M =$126.92M
280.0K left-60.0K (-17.65%)
$101.59M =$111.73M
2.30M left-100.0K (-4.17%)
Armstrong World Industries Inc
$96.60M =$98.93M
700.0K left-35.0K (-4.76%)
$86.96M - $6.54M =$80.42M
1.40M left-60.0K (-4.11%)
$118.82M - $39.04M =$79.78M
170.0K left-55.0K (-24.44%)
$113.99M - $36.24M =$77.75M
160.0K left-35.0K (-17.95%)
L3harris Technologies Inc
$84.44M - $10.85M =$73.60M
350.0K left-5.0K (-1.41%)
The Bank of New York Mellon Corporation
$129.35M - $64.04M =$65.31M
850.0K left-950.0K (-52.78%)
$84.73M - $28.54M =$56.19M
800.0K left-700.0K (-46.67%)
The Goldman Sachs Group, Inc.
$49.51M =$51.54M
90.0K left-10.0K (-10.00%)
$49.66M - $11.65M =$38.02M
800.0K left-300.0K (-27.27%)