$364.00M - $364.00M =Closed
-86.3K shares (100%)
ALCEXITAlcon Inc.
$237.72M - $237.72M =Closed
-3.4K shares (100%)
$71.52B - $5.83B =$65.69B
924.1K left-4.8K (-0.51%)
$62.40B - $337.27M =$62.06B
2.17M left-27.3K (-1.24%)
$72.81B - $12.39B =$60.41B
1.25M left-52.3K (-4.01%)
$63.73B - $5.15B =$58.58B
684.3K left-14.8K (-2.11%)
$75.50B - $21.73B =$53.77B
4.60M left-186.8K (-3.90%)
$54.92B - $9.31B =$45.61B
1.04M left-5.1K (-0.49%)
$59.73B - $15.47B =$44.26B
4.81M left-25.9K (-0.54%)
$62.30B - $23.89B =$38.40B
1.30M left-126.2K (-8.82%)
$38.47B - $4.93B =$33.54B
9.9K left-51 (-0.51%)
$11.77B - $158.36M =$11.62B
467.8K left-337 (-0.07%)
1.48M left-21.8K (-1.45%)
Webster Financial Corporation
114.6K left-7.2K (-5.89%)
$2.25B - $788.51M =$1.46B
62.3K left-4.3K (-6.45%)
$1.90B - $599.48M =$1.30B
14.9K left-7.3K (-32.87%)
Trinity Place Holdings Inc
$1.48B - $193.36M =$1.29B
1.46M left-7.3K (-0.50%)
$848.30M - $18.60M =$829.70M
3.1K left-43 (-1.37%)
$787.71M - $151.12M =$636.59M
74.5K left-747 (-0.99%)