ALKEXITAlaska Air Group Inc
$45.21M - $45.21M =Closed
-1.00M shares (100%)
AALEXITAmerican Airlines Group Inc
$168.60M - $168.60M =Closed
-15.00M shares (100%)
BILLEXITBill Holdings Inc
$28.30M - $28.30M =Closed
-32.00M shares (100%)
CAHEXITCardinal Health Inc
$221.04M - $221.04M =Closed
-2.00M shares (100%)
CTLTEXITCatalent Inc
$242.28M - $242.28M =Closed
-4.00M shares (100%)
JETSEXITETF Series Solutions
$265.22M - $265.22M =Closed
-12.80M shares (100%)
$44.38M - $44.38M =Closed
-50.0K shares (100%)
HSTEXITHost Hotels & Resorts Inc
-500.0K shares (100%)
HEXITHyatt Hotels Corporation
$30.44M - $30.44M =Closed
-200.0K shares (100%)
IQVEXITIqvia Holdings Inc
-42.0K shares (100%)
IWMEXITiShares Trust
$276.11M - $276.11M =Closed
-1.25M shares (100%)
PKEXITPark Hotels & Resorts Inc.
-500.0K shares (100%)
XLBEXITTechnology Select Sector SPDR Fund
$43.37M - $43.37M =Closed
-450.0K shares (100%)
XLUEXITTechnology Select Sector SPDR Fund
$117.94M - $117.94M =Closed
-1.46M shares (100%)
UEXITUnity Software Inc
$31.26M - $31.26M =Closed
-35.00M shares (100%)
$1.81B =$2.01B
59.67M left-1.45M (-2.37%)
Technology Select Sector SPDR Fund
$2.03B - $1.52B =$514.47M
6.01M left-17.14M (-74.06%)
$880.75M - $447.70M =$433.06M
4.80M left-4.87M (-50.35%)
$357.47M - $93.03M =$264.45M
975.0K left-285.0K (-22.62%)
$261.25M - $108.03M =$153.22M
2.70M left-1.40M (-34.15%)