ALXNEXITAlexion Pharmaceuticals Inc
$43.57M - $43.57M =Closed
-444.9K shares (100%)
CBSEXITCbs Corp
$46.91M - $46.91M =Closed
-1.16M shares (100%)
MHKEXITMohawk Industries, Inc.
$26.47M - $26.47M =Closed
-213.3K shares (100%)
NVTEXITNvent Electric Plc
$35.09M - $35.09M =Closed
-1.59M shares (100%)
Capital One Financial Corporation
$68.34M - $5.37M =$62.97M
611.9K left-139.3K (-18.54%)
$56.97M =$62.31M
1.22M left-116.3K (-8.71%)
$68.49M - $9.97M =$58.52M
258.4K left-70.9K (-21.53%)
$57.00M =$57.18M
715.7K left-109.5K (-13.27%)
American International Group Inc
$56.71M - $5.78M =$50.93M
992.2K left-26.0K (-2.55%)
$47.15M =$50.61M
556.5K left-3.6K (-0.65%)
Sensata Technologies Holding Plc
$50.37M - $446.7K =$49.92M
926.6K left-79.5K (-7.90%)
$50.97M - $1.20M =$49.77M
2.22M left-58.1K (-2.55%)
$57.44M - $8.65M =$48.79M
834.3K left-163.0K (-16.34%)
UnitedHealth Group Incorporated
$40.94M =$47.32M
160.9K left-27.4K (-14.57%)
$52.69M - $7.60M =$45.09M
476.1K left-157.7K (-24.88%)
$57.94M - $13.24M =$44.69M
351.2K left-179.8K (-33.85%)
Bank of America Corporation
$40.60M =$43.56M
1.24M left-154.9K (-11.13%)
$59.30M - $19.55M =$39.75M
884.0K left-431.6K (-32.80%)
$59.76M - $20.83M =$38.93M
637.8K left-559.8K (-46.74%)
$56.69M - $17.98M =$38.71M
693.8K left-321.2K (-31.65%)