$213.08M - $213.08M =Closed
-1.20M shares (100%)
ARNCEXITArconic Corporation
$18.16M - $18.16M =Closed
-550.0K shares (100%)
DELLEXITDell Technologies Inc
$532.71M - $532.71M =Closed
-9.48M shares (100%)
DUKEXITDuke Energy Corporation
$104.90M - $104.90M =Closed
-1.00M shares (100%)
HTAEXITHealthcare Trust of America Inc
$111.02M - $111.02M =Closed
-3.33M shares (100%)
IWMEXITiShares Trust
$111.22M - $111.22M =Closed
-500.0K shares (100%)
SCEXITSantander Consumer USA Holdings Inc.
$703.56M - $703.56M =Closed
-16.74M shares (100%)
Marathon Petroleum Corporation
$868.34M =$946.06M
11.06M left-2.50M (-18.46%)
$383.48M - $47.10M =$336.38M
2.50M left-1.50M (-37.50%)
$530.08M - $270.06M =$260.02M
2.15M left-1.85M (-46.25%)
Technology Select Sector SPDR Fund
$321.76M - $105.47M =$216.29M
2.85M left-1.32M (-31.70%)
$646.20M - $492.80M =$153.41M
2.24M left-7.17M (-76.17%)
Digital Realty Trust, Inc.
$194.56M - $74.03M =$120.53M
850.0K left-250.0K (-22.73%)
$138.63M - $28.43M =$110.19M
390.0K left-360.0K (-48.00%)
$80.33M =$98.74M
1.90M left-331.4K (-14.85%)
Technology Select Sector SPDR Fund
$156.20M - $60.40M =$95.80M
2.50M left-1.50M (-37.50%)
$64.66M =$91.27M
2.60M left-2.4K (-0.09%)
$397.10M - $328.50M =$68.61M
254.3K left-1.03M (-80.23%)
$324.83M - $292.32M =$32.51M
300.0K left-2.50M (-89.29%)
Hilton Worldwide Holdings Inc
$31.20M - $3.13M =$28.07M
185.0K left-15.0K (-7.50%)