CSXEXITCsx Corp
$234.66M - $234.66M =Closed
-7.57M shares (100%)
SCHWEXITThe Charles Schwab Corporation
$790.83M - $790.83M =Closed
-9.50M shares (100%)
Canadian Pacific Railway Limited
$1.52B - $163.50M =$1.35B
17.59M left-2.75M (-13.51%)
Canadian National Railway Company
$1.31B - $278.02M =$1.03B
8.71M left-2.27M (-20.69%)
First Citizens Bancshares Inc
$538.73M =$586.80M
603.0K left-107.4K (-15.11%)
$588.79M - $102.43M =$486.36M
9.91M left-1.11M (-10.06%)
$557.61M - $118.77M =$438.85M
25.13M left-3.59M (-12.51%)
$582.06M - $199.34M =$382.71M
1.33M left-1.10M (-45.30%)
$695.88M - $332.77M =$363.11M
999.2K left-1.00M (-50.07%)
$431.00M - $68.33M =$362.67M
9.94M left-1.46M (-12.81%)
$322.92M =$354.31M
1.80M left-172.2K (-8.74%)
$732.28M - $431.51M =$300.78M
2.89M left-5.36M (-64.96%)
$454.03M - $230.15M =$223.88M
1.12M left-1.16M (-50.87%)
Lpl Financial Holdings Inc
$265.51M - $59.12M =$206.39M
1.02M left-208.5K (-16.98%)
$204.61M - $2.32M =$202.29M
3.85M left-556.1K (-12.62%)
$436.95M - $244.54M =$192.41M
72.5K left-144.3K (-66.54%)
$223.61M - $58.63M =$164.98M
7.64M left-2.57M (-25.16%)
$148.84M - $3.25M =$145.59M
406.6K left-42.7K (-9.49%)
UnitedHealth Group Incorporated
$564.13M - $521.89M =$42.23M
89.4K left-974.7K (-91.60%)