BKEEXITThe Buckle Inc
$334.0K - $334.0K =Closed
-18.0K shares (100%)
CACCEXITCredit Acceptance Corp
$487.0K - $487.0K =Closed
-2.4K shares (100%)
DECKEXITDeckers Outdoor Corporation
$471.0K - $471.0K =Closed
-7.9K shares (100%)
GILDEXITGilead Sciences, Inc.
$367.0K - $367.0K =Closed
-5.4K shares (100%)
$506.0K - $506.0K =Closed
-12.3K shares (100%)
PRAAEXITPra Group Inc
$491.0K - $491.0K =Closed
-14.8K shares (100%)
PFEEXITPfizer Inc.
$466.0K - $466.0K =Closed
-13.6K shares (100%)
$398.0K - $398.0K =Closed
-23.6K shares (100%)
TUPEXITTupperware Brands Corp
$443.0K - $443.0K =Closed
-7.1K shares (100%)
WMTEXITWalmart, Inc.
$420.0K - $420.0K =Closed
-5.8K shares (100%)
WWWEXITWolverine World Wide Inc
$507.0K - $507.0K =Closed
-20.3K shares (100%)
HLFEXITHerbalife Ltd
$526.0K - $526.0K =Closed
-9.1K shares (100%)
Becton, Dickinson and Company
$450.27M =$463.25M
2.37M left-80.3K (-3.27%)
$426.23M - $84.0K =$426.15M
3.69M left-120.5K (-3.16%)
$387.78M =$408.79M
1.96M left-63.2K (-3.12%)
United Technologies Corporation
$363.50M =$382.66M
3.13M left-105.7K (-3.26%)
$388.56M - $9.69M =$378.86M
5.50M left-403.4K (-6.84%)
UnitedHealth Group Incorporated
$317.32M =$347.48M
1.87M left-60.8K (-3.14%)
$327.06M =$337.24M
2.54M left-69.0K (-2.64%)
$305.50M =$332.09M
2.51M left-70.5K (-2.74%)