Alphabet Inc. (formerly Google Inc.)
$798.22M - $798.22M =Closed
-387.0K shares (100%)
$842.14M =$958.72M
3.54M left-32.9K (-0.92%)
$765.20M =$794.70M
5.36M left-46.3K (-0.85%)
$726.63M - $2.88M =$723.75M
4.39M left-27.9K (-0.63%)
$677.42M =$692.29M
3.49M left-30.5K (-0.87%)
Becton, Dickinson and Company
$662.24M - $4.41M =$657.84M
2.71M left-18.6K (-0.68%)
$602.60M =$638.31M
2.46M left-16.4K (-0.66%)
$597.99M =$613.21M
2.08M left-84.5K (-3.90%)
$536.41M =$596.26M
4.35M left-37.9K (-0.86%)
$498.52M =$578.14M
3.74M left-9.2K (-0.24%)
UnitedHealth Group Incorporated
$537.27M =$543.27M
1.36M left-87.3K (-6.05%)
$404.66M =$507.98M
1.04M left-20.0K (-1.90%)
$415.67M =$446.08M
11.39M left-82.0K (-0.71%)
Automatic Data Processing Inc
$395.48M =$415.92M
2.09M left-4.3K (-0.20%)
Cognizant Technology Solutions Corp
$421.09M - $51.06M =$370.03M
5.34M left-47.7K (-0.88%)
$309.55M =$320.82M
1.01M left-8.0K (-0.79%)
$288.00M =$316.14M
1.32M left-270.1K (-16.99%)
Broadridge Financial Solutions Inc
$300.52M =$314.61M
1.95M left-15.3K (-0.78%)
Texas Instruments Incorporated
$303.02M =$305.32M
1.59M left-15.6K (-0.98%)