Samsung Electronics Co Ltd
$83.93M - $83.93M =Closed
-1.40M shares (100%)
Canadian Natural Resources Limited
$351.56M - $19.83M =$331.73M
9.80M left-1.20M (-10.91%)
$321.13M - $40.63M =$280.50M
580.0K left-40.0K (-6.45%)
$212.75M =$254.29M
980.0K left-20.0K (-2.00%)
The Charles Schwab Corporation
$253.00M - $3.22M =$249.78M
2.50M left-150.0K (-5.66%)
Cognizant Technology Solutions Corp
$140.85M =$157.70M
1.90M left-200.0K (-9.52%)
$125.10M =$139.40M
839.3K left-110.7K (-11.65%)
$92.81M - $2.50M =$90.31M
700.0K left-100.0K (-12.50%)
$88.28M - $7.91M =$80.38M
1.10M left-300.0K (-21.43%)
$47.63M - $9.07M =$38.56M
390.9K left-109.1K (-21.81%)
$35.95M - $6.93M =$29.02M
500.0K left-100.0K (-16.67%)
Warner Bros. Discovery, Inc.
$85.93M - $57.11M =$28.82M
1.00M left-3.40M (-77.27%)