CIREXITCircor International Inc
$11.54M - $11.54M =Closed
-226.9K shares (100%)
DVEXITDevry Education Group Inc
-71.4K shares (100%)
FBINEXITFortune Brands Innovations Inc
-66.9K shares (100%)
HSPEXITHospira Inc
$40.60M - $40.60M =Closed
-1.06M shares (100%)
JAKKEXITJakks Pacific, Inc.
$15.43M - $15.43M =Closed
-1.37M shares (100%)
Hewlett Packard Enterprise Company
$816.47M - $166.44M =$650.03M
30.98M left-1.94M (-5.89%)
American International Group Inc
$472.17M =$510.22M
10.49M left-71.1K (-0.67%)
$554.61M - $79.49M =$475.12M
32.43M left-2.54M (-7.26%)
$481.72M - $15.11M =$466.61M
7.36M left-307.1K (-4.01%)
$404.05M - $12.39M =$391.66M
8.07M left-349.2K (-4.15%)
$324.22M =$343.07M
12.73M left-541.3K (-4.08%)
$340.93M - $20.16M =$320.77M
6.83M left-618.2K (-8.30%)
$409.48M - $100.77M =$308.71M
5.96M left-3.03M (-33.69%)
$252.85M =$276.49M
13.47M left-1.44M (-9.67%)
Becton, Dickinson and Company
$274.07M - $4.67M =$269.39M
2.69M left-79.7K (-2.87%)
The Pnc Financial Services Group Inc
$260.18M - $1.88M =$258.30M
3.57M left-2.8K (-0.08%)
L-3 Communications Holdings, Inc.
$267.98M - $14.97M =$253.01M
2.68M left-448.1K (-14.34%)
$262.31M - $16.82M =$245.49M
5.67M left-61.7K (-1.08%)
$242.06M - $2.27M =$239.80M
7.52M left-94.9K (-1.25%)
$280.61M - $46.92M =$233.69M
3.70M left-328.9K (-8.17%)