ADSKEXITAutodesk Inc
$172.51M - $172.51M =Closed
-940.3K shares (100%)
AVTREXITAvantor, Inc.
$133.62M - $133.62M =Closed
-7.36M shares (100%)
HDBEXITHdfc Bank Ltd
$273.27M - $273.27M =Closed
-4.31M shares (100%)
IBNEXITIcici Bank Limited
$213.06M - $213.06M =Closed
-14.12M shares (100%)
IQVEXITIqvia Holdings Inc
$18.77M - $18.77M =Closed
-121.5K shares (100%)
$44.24M - $44.24M =Closed
-1.12M shares (100%)
MLMEXITMartin Marietta Materials Inc
$347.05M - $347.05M =Closed
-1.24M shares (100%)
RTNEXITRaytheon Company
$105.48M - $105.48M =Closed
-480.0K shares (100%)
CRMEXITSalesforce, Inc.
$258.29M - $258.29M =Closed
-1.59M shares (100%)
TMOEXITThermo Fisher Scientific Inc
$303.58M - $303.58M =Closed
-934.5K shares (100%)
TDGEXITTransdigm Group Inc
$396.45M - $396.45M =Closed
-708.0K shares (100%)
WYNNEXITWynn Resorts Ltd
$138.66M - $138.66M =Closed
-998.5K shares (100%)
Charter Communications, Inc.
$1.12B - $205.29M =$912.47M
2.09M left-212.9K (-9.24%)
$841.98M - $205.61M =$636.37M
4.04M left-1.30M (-24.42%)
$891.98M - $274.94M =$617.04M
6.50M left-1.22M (-15.79%)
Union Pacific Corporation
$840.76M - $325.17M =$515.59M
3.66M left-994.8K (-21.39%)
$616.64M - $110.20M =$506.44M
1.59M left-278.3K (-14.89%)
Alibaba Group Holding Limited
$1.09B - $591.47M =$502.58M
2.58M left-2.57M (-49.90%)
UnitedHealth Group Incorporated
$825.14M - $374.25M =$450.89M
1.81M left-998.8K (-35.58%)
$396.02M - $156.63M =$239.40M
7.03M left-2.08M (-22.79%)