$255.19M - $255.19M =Closed
-3.90M shares (100%)
ALLYEXITAlly Financial Inc
$93.81M - $93.81M =Closed
-3.97M shares (100%)
AALEXITAmerican Airlines Group Inc
$133.65M - $133.65M =Closed
-2.49M shares (100%)
$327.55M - $327.55M =Closed
-5.65M shares (100%)
MCKEXITMckesson Corporation
$131.87M - $131.87M =Closed
-635.3K shares (100%)
NKEEXITNike Inc
$135.07M - $135.07M =Closed
-1.40M shares (100%)
PKGEXITPackaging Corporation of America
$77.91M - $77.91M =Closed
-998.2K shares (100%)
TIFEXITTiffany & Co.
$141.07M - $141.07M =Closed
-1.32M shares (100%)
BGEXITBunge Global SA
$40.99M - $40.99M =Closed
-450.9K shares (100%)
$102.26M - $102.26M =Closed
-2.04M shares (100%)
$70.06M - $70.06M =Closed
-1.45M shares (100%)
WTWEXITWillis Towers Watson Public Limited Company
$37.32M - $37.32M =Closed
-832.9K shares (100%)
$46.44M - $46.44M =Closed
-879.1K shares (100%)
Canadian National Railway Company
$395.17M - $18.40M =$376.77M
5.63M left-100.2K (-1.75%)
$548.74M - $187.60M =$361.13M
4.18M left-2.19M (-34.36%)
Twenty-First Century Fox, Inc.
$534.22M - $209.82M =$324.40M
9.59M left-4.32M (-31.08%)
$304.56M - $30.18M =$274.38M
5.04M left-512.0K (-9.22%)
$367.79M - $101.21M =$266.58M
2.35M left-1.16M (-33.03%)
$272.44M - $48.02M =$224.42M
3.70M left-648.9K (-14.91%)
$300.98M - $79.75M =$221.24M
2.72M left-1.25M (-31.51%)