EXPDEXITExpeditors International of Washington, Inc.
-30.0K shares (100%)
KEXITKellanova
-86.3K shares (100%)
RMDEXITResmed Inc.
-11.7K shares (100%)
$913.14M =$969.14M
2.58M left-314.7K (-10.88%)
$841.66M =$879.05M
6.29M left-138.9K (-2.16%)
$796.83M =$851.53M
2.43M left-168.0K (-6.47%)
$834.97M - $15.60M =$819.37M
4.82M left-103.5K (-2.10%)
$685.50M =$753.50M
3.91M left-90.2K (-2.25%)
UnitedHealth Group Incorporated
$706.16M =$720.84M
1.37M left-31.4K (-2.24%)
$687.50M =$691.25M
2.31M left-207.5K (-8.25%)
$574.58M =$687.17M
1.10M left-25.1K (-2.24%)
Marsh & Mclennan Companies Inc
$574.04M - $15.29M =$558.75M
2.95M left-67.5K (-2.24%)
$472.69M =$526.98M
4.85M left-89.5K (-1.81%)
$452.37M =$465.06M
4.84M left-112.6K (-2.27%)
Automatic Data Processing Inc
$487.76M - $26.17M =$461.59M
1.98M left-46.1K (-2.27%)
$426.86M =$449.67M
1.05M left-23.9K (-2.21%)
$320.42M =$383.11M
1.55M left-200.0K (-11.43%)
Texas Instruments Incorporated
$362.84M =$380.33M
2.23M left-50.6K (-2.22%)
Broadridge Financial Solutions Inc
$326.83M =$366.82M
1.78M left-42.5K (-2.33%)
$323.97M =$363.17M
1.05M left-24.2K (-2.26%)