NLYEXITAnnaly Capital Management Inc
$140.0K - $140.0K =Closed
-11.8K shares (100%)
DXCEXITDxc Technology Co
$13.54M - $13.54M =Closed
-142.7K shares (100%)
GMEXITGeneral Motors Company
$949.0K - $949.0K =Closed
-23.1K shares (100%)
HLTEXITHilton Worldwide Holdings Inc
$203.22M - $203.22M =Closed
-2.54M shares (100%)
INTCEXITIntel Corporation
$324.0K - $324.0K =Closed
-7.0K shares (100%)
IWNEXITiShares Trust
$728.0K - $728.0K =Closed
-5.8K shares (100%)
PCLNEXITBooking Holdings Inc
$327.0K - $327.0K =Closed
-188 shares (100%)
SRIEXITStoneridge Inc
$835.0K - $835.0K =Closed
-36.5K shares (100%)
VRTUEXITVirtusa Corporation
-50.6K shares (100%)
VSTEXITVistra Energy Corp
$416.0K - $416.0K =Closed
-22.7K shares (100%)
STXEXITSeagate Technology Holdings Plc
$116.78M - $116.78M =Closed
-2.79M shares (100%)
$929.89M - $53.24M =$876.65M
21.29M left-684.7K (-3.12%)
Hewlett Packard Enterprise Company
$639.78M - $19.14M =$620.64M
35.38M left-9.17M (-20.58%)
$600.15M - $35.08M =$565.08M
5.75M left-189.5K (-3.19%)
$622.36M - $68.31M =$554.06M
8.21M left-155.7K (-1.86%)
Cognizant Technology Solutions Corp
$505.64M =$538.71M
6.69M left-427.6K (-6.01%)
$612.97M - $74.95M =$538.02M
10.65M left-1.74M (-14.02%)
$530.91M - $19.50M =$511.41M
11.18M left-50.6K (-0.45%)
Bank of America Corporation
$578.45M - $69.63M =$508.83M
16.97M left-2.63M (-13.42%)
$456.65M - $14.18M =$442.47M
8.20M left-503.2K (-5.78%)