Alphabet Inc. (formerly Google Inc.)
$915.65M - $915.65M =Closed
-375.0K shares (100%)
HRCEXITHill-Rom Holdings, Inc.
-48.9K shares (100%)
$958.72M - $50.73M =$907.99M
3.22M left-318.3K (-8.99%)
$794.70M - $37.92M =$756.78M
5.03M left-332.0K (-6.19%)
$723.75M - $71.14M =$652.61M
4.04M left-352.4K (-8.02%)
$638.31M - $29.73M =$608.58M
2.31M left-149.9K (-6.10%)
$596.26M - $18.13M =$578.13M
4.09M left-267.8K (-6.15%)
$692.29M - $118.61M =$573.68M
3.27M left-215.0K (-6.17%)
$613.21M - $47.39M =$565.82M
1.77M left-311.5K (-14.98%)
Becton, Dickinson and Company
$657.84M - $92.73M =$565.11M
2.30M left-406.2K (-15.02%)
$578.14M - $68.07M =$510.07M
3.51M left-230.1K (-6.15%)
UnitedHealth Group Incorporated
$543.27M - $46.97M =$496.31M
1.27M left-86.5K (-6.38%)
$446.08M =$458.65M
10.66M left-727.4K (-6.39%)
$507.98M - $57.15M =$450.83M
835.6K left-200.7K (-19.37%)
$406.82M - $30.62M =$376.21M
3.41M left-228.1K (-6.27%)
Cognizant Technology Solutions Corp
$370.03M =$372.20M
5.02M left-327.2K (-6.12%)
$316.14M =$316.57M
1.25M left-70.8K (-5.36%)
$320.82M - $11.29M =$309.53M
942.9K left-63.1K (-6.27%)
Broadridge Financial Solutions Inc
$314.61M - $22.11M =$292.50M
1.76M left-192.4K (-9.88%)
Texas Instruments Incorporated
$305.32M - $19.09M =$286.23M
1.49M left-98.6K (-6.21%)