MTBEXITM&T Bank Corporation
$23.66M - $23.66M =Closed
-139.4K shares (100%)
ORLYEXITO'Reilly Automotive Inc
$12.11M - $12.11M =Closed
-27.6K shares (100%)
$201.76M - $49.86M =$151.90M
830.8K left-60.0K (-6.73%)
$102.57M - $43.22M =$59.35M
1.10M left-67.4K (-5.76%)
$83.07M - $30.66M =$52.41M
727.7K left-105.2K (-12.63%)
$59.10M - $11.77M =$47.34M
293.8K left-20.8K (-6.60%)
Alphabet Inc. (formerly Google Inc.)
$48.80M - $9.10M =$39.70M
34.1K left-2.4K (-6.47%)
$57.49M - $21.84M =$35.65M
13.9K left-1.2K (-8.07%)
Keysight Technologies, Inc.
$40.84M - $7.76M =$33.08M
395.3K left-2.6K (-0.66%)
$44.92M - $14.21M =$30.70M
480.5K left-21.2K (-4.23%)
The Charles Schwab Corporation
$45.27M - $15.43M =$29.84M
887.5K left-64.4K (-6.76%)
$47.40M - $18.35M =$29.05M
322.7K left-17.3K (-5.10%)
$37.61M - $9.35M =$28.26M
169.4K left-13.8K (-7.54%)
Edwards Lifesciences Corporation
$29.98M - $7.64M =$22.34M
118.4K left-10.1K (-7.85%)
Fortune Brands Innovations Inc
$41.12M - $19.30M =$21.82M
504.4K left-124.9K (-19.84%)
$28.92M - $11.18M =$17.74M
183.6K left-16.3K (-8.17%)
$22.26M - $14.45M =$7.81M
58.6K left-57.8K (-49.67%)
Union Pacific Corporation
$29.28M - $21.95M =$7.33M
52.0K left-110.0K (-67.90%)
Healthcare Services Group, Inc.
294.6K left-25.1K (-7.85%)
355.5K left-31.1K (-8.04%)