DALEXITDelta Air Lines Inc
$48.79M - $48.79M =Closed
-834.3K shares (100%)
EQTEXITEqt Corporation
$29.49M - $29.49M =Closed
-2.71M shares (100%)
JBLUEXITJetblue Airways Corporation
$34.14M - $34.14M =Closed
-1.82M shares (100%)
$49.77M - $49.77M =Closed
-2.22M shares (100%)
PARAEXITParamount Global
$29.62M - $29.62M =Closed
-705.7K shares (100%)
CBEXITChubb Limited
$30.10M - $30.10M =Closed
-193.3K shares (100%)
GMEXITGeneral Motors Co
$46.05M - $46.05M =Closed
-1.26M shares (100%)
AIGEXITAmerican International Group Inc
$50.93M - $50.93M =Closed
-992.2K shares (100%)
$58.52M - $15.87M =$42.65M
233.3K left-25.1K (-9.72%)
$50.61M - $8.93M =$41.68M
541.8K left-14.7K (-2.64%)
$51.51M - $10.90M =$40.61M
844.5K left-152.7K (-15.31%)
$62.31M - $22.75M =$39.56M
1.16M left-55.4K (-4.55%)
UnitedHealth Group Incorporated
$47.32M - $18.51M =$28.80M
115.5K left-45.5K (-28.24%)
Elanco Animal Health, Inc.
$37.04M - $9.01M =$28.03M
1.25M left-6.0K (-0.48%)
Alphabet Inc. (formerly Google Inc.)
$33.82M - $8.14M =$25.68M
22.1K left-3.1K (-12.48%)
Thermo Fisher Scientific Inc
$38.68M - $13.18M =$25.50M
89.9K left-29.1K (-24.49%)
$32.08M - $7.19M =$24.89M
157.8K left-45.6K (-22.41%)
Bank of America Corporation
$43.56M - $20.53M =$23.03M
1.08M left-152.1K (-12.29%)
$57.18M - $34.24M =$22.94M
544.6K left-171.1K (-23.91%)
$53.39M - $32.01M =$21.38M
574.0K left-391.4K (-40.55%)