$130.91M - $130.91M =Closed
-11.0K shares (100%)
$66.59B - $6.79B =$59.80B
731.1K left-71.7K (-8.93%)
$56.43B - $2.82B =$53.61B
864.2K left-71.7K (-7.66%)
$36.69B =$50.36B
816.8K left-34.4K (-4.04%)
$35.37B =$47.57B
1.51M left-136.1K (-8.26%)
$52.95B - $5.77B =$47.17B
1.28M left-124.8K (-8.87%)
$39.76B =$45.51B
4.31M left-494.3K (-10.28%)
Voxx International Corporation
$27.16B =$38.95B
3.05M left-480.1K (-13.59%)
$34.49B =$37.47B
1.83M left-149.4K (-7.56%)
$31.69B =$31.71B
10.5K left-708 (-6.34%)
$24.97B =$31.36B
4.73M left-709.3K (-13.04%)
$19.33B =$30.29B
5.76M left-1.03M (-15.11%)
$25.42B - $580.00M =$24.84B
674.7K left-17.8K (-2.57%)
1.41M left-311.5K (-18.06%)
334.5K left-61.3K (-15.48%)
Sterling Bancorp (delaware)
275.4K left-25.7K (-8.52%)
$3.29B - $727.15M =$2.56B
355.2K left-55.8K (-13.58%)
$1.97B =$2.12B
22.4K left-300 (-1.32%)
Verizon Communications Inc
$957.43M - $61.85M =$895.58M
15.2K left-850 (-5.28%)
$220.77M =$788.12M
130.5K left-20.7K (-13.71%)