AAEXITAlcoa Corporation
$165.03M - $165.03M =Closed
-3.62M shares (100%)
BBWIEXITBath & Body Works Inc
$201.21M - $201.21M =Closed
-7.47M shares (100%)
BXSLEXITBlackstone Secured Lending Fund
$29.20M - $29.20M =Closed
-1.24M shares (100%)
$44.32M - $44.32M =Closed
-11.1K shares (100%)
Canadian Pacific Railway Limited
$1.78B - $284.28M =$1.50B
22.49M left-3.07M (-12.00%)
Canadian National Railway Company
$1.33B - $123.16M =$1.21B
11.17M left-650.0K (-5.50%)
$1.38B - $259.18M =$1.13B
4.83M left-559.0K (-10.37%)
The Charles Schwab Corporation
$793.61M =$837.47M
11.65M left-908.5K (-7.23%)
$818.87M - $163.75M =$655.12M
3.69M left-471.4K (-11.33%)
First Citizens Bancshares Inc
$552.51M =$616.87M
773.6K left-71.5K (-8.46%)
$758.43M - $143.94M =$614.49M
2.16M left-243.0K (-10.11%)
UnitedHealth Group Incorporated
$769.07M - $188.53M =$580.54M
1.15M left-347.8K (-23.23%)
$650.84M - $92.14M =$558.70M
4.01M left-445.4K (-10.00%)
$428.70M =$432.94M
2.31M left-149.1K (-6.08%)
$646.88M - $216.95M =$429.93M
16.14M left-6.12M (-27.50%)
$504.19M - $187.10M =$317.09M
4.71M left-2.91M (-38.19%)
$366.71M - $71.73M =$294.98M
1.09M left-181.2K (-14.21%)
Taiwan Semiconductor Manufacturing Co. Ltd.
$389.64M - $152.39M =$237.25M
3.46M left-1.31M (-27.40%)
$319.38M - $114.57M =$204.81M
4.76M left-2.14M (-30.97%)
Blackstone Mortgage Trust, Inc.
$71.76M - $17.35M =$54.41M
2.33M left-262.1K (-10.11%)