ADIEXITAnalog Devices Inc
$18.99M - $18.99M =Closed
-211.8K shares (100%)
CVXEXITChevron Corp
$26.10M - $26.10M =Closed
-360.3K shares (100%)
CSCOEXITCisco Systems Inc
$20.68M - $20.68M =Closed
-526.0K shares (100%)
MRSHEXITMarsh & Mclennan Companies Inc
-27.6K shares (100%)
MSFTEXITMicrosoft Corporation
$24.89M - $24.89M =Closed
-157.8K shares (100%)
PKGEXITPackaging Corporation of America
$208.4K - $208.4K =Closed
-2.4K shares (100%)
TTEEXITTotalenergies SE
$21.38M - $21.38M =Closed
-574.0K shares (100%)
WFCEXITWells Fargo & Company
$13.94M - $13.94M =Closed
-485.9K shares (100%)
$20.65M - $20.65M =Closed
-125.1K shares (100%)
$40.61M =$44.02M
796.4K left-48.0K (-5.69%)
$38.78M - $375.4K =$38.41M
985.3K left-142.8K (-12.65%)
$41.68M - $5.43M =$36.25M
468.8K left-73.0K (-13.47%)
$39.56M - $4.14M =$35.42M
733.3K left-430.2K (-36.97%)
$28.58M =$35.12M
162.9K left-26.2K (-13.85%)
$34.92M - $1.79M =$33.12M
1.01M left-56.9K (-5.31%)
$42.65M - $9.94M =$32.70M
183.2K left-50.0K (-21.46%)
Sensata Technologies Holding Plc
$32.87M - $5.26M =$27.61M
741.5K left-394.7K (-34.74%)
UnitedHealth Group Incorporated
$28.80M - $2.46M =$26.34M
89.3K left-26.2K (-22.68%)
$30.41M - $4.63M =$25.78M
418.4K left-377.7K (-47.44%)
$19.60M =$23.26M
203.9K left-32.4K (-13.69%)