AMZNEXITAmazon.com Inc
$315.04M - $315.04M =Closed
-2.79M shares (100%)
BXMTEXITBlackstone Mortgage Trust, Inc.
$54.41M - $54.41M =Closed
-2.33M shares (100%)
DHIEXITD.r. Horton, Inc.
$317.09M - $317.09M =Closed
-4.71M shares (100%)
TSMEXITTaiwan Semiconductor Manufacturing Co. Ltd.
$237.25M - $237.25M =Closed
-3.46M shares (100%)
LINEXITLinde Plc
$294.98M - $294.98M =Closed
-1.09M shares (100%)
Canadian Pacific Railway Limited
20.33M left-2.16M (-9.59%)
Canadian National Railway Company
10.98M left-190.9K (-1.71%)
The Charles Schwab Corporation
$837.47M - $46.64M =$790.83M
9.50M left-2.15M (-18.49%)
$993.37M - $261.09M =$732.28M
8.25M left-2.08M (-20.12%)
$614.49M =$695.88M
2.00M left-159.9K (-7.40%)
$1.13B - $543.05M =$582.06M
2.43M left-2.40M (-49.76%)
UnitedHealth Group Incorporated
$580.54M - $16.42M =$564.13M
1.06M left-85.5K (-7.44%)
$449.32M =$557.61M
28.73M left-505.4K (-1.73%)
First Citizens Bancshares Inc
$616.87M - $78.15M =$538.73M
710.4K left-63.2K (-8.17%)
$432.94M =$454.03M
2.28M left-26.4K (-1.14%)
$364.41M =$431.00M
11.40M left-587.1K (-4.90%)
$558.70M - $235.78M =$322.92M
1.97M left-2.04M (-50.90%)
$480.39M - $239.87M =$240.51M
2.47M left-3.39M (-57.88%)
$429.93M - $195.28M =$234.66M
7.57M left-8.56M (-53.07%)
$204.81M - $200.0K =$204.61M
4.41M left-355.2K (-7.46%)