CRIEXITCarter'S, Inc.
$515.0K - $515.0K =Closed
-5.1K shares (100%)
METAEXITMeta Platforms Inc
$745.0K - $745.0K =Closed
-4.5K shares (100%)
MDEXITPediatrix Medical Group Inc
$62.17M - $62.17M =Closed
-2.29M shares (100%)
RDCEXITRowan Companies Plc
$10.76M - $10.76M =Closed
-996.7K shares (100%)
$603.88M =$625.35M
59.56M left-891.7K (-1.48%)
American International Group Inc
$529.81M =$580.47M
10.89M left-1.41M (-11.45%)
$488.41M =$546.06M
7.80M left-52.3K (-0.67%)
Capital One Financial Corporation
$461.83M =$510.40M
5.62M left-28.6K (-0.51%)
Hewlett Packard Enterprise Company
$520.11M - $19.53M =$500.58M
33.48M left-224.2K (-0.67%)
$465.36M =$499.49M
7.41M left-105.8K (-1.41%)
$462.40M - $11.71M =$450.70M
7.91M left-698.1K (-8.11%)
Bank of America Corporation
$409.50M =$426.43M
14.70M left-137.6K (-0.93%)
$379.21M =$389.71M
8.90M left-90.7K (-1.01%)
$405.75M - $22.83M =$382.92M
6.92M left-1.20M (-14.74%)
$316.55M =$362.55M
7.30M left-136.9K (-1.84%)
Stanley Black & Decker Inc
$329.96M =$347.84M
2.41M left-17.8K (-0.73%)
$409.79M - $62.30M =$347.49M
4.24M left-1.37M (-24.47%)
$342.63M - $4.36M =$338.27M
33.07M left-5.96M (-15.27%)
$326.26M =$332.27M
7.34M left-182.9K (-2.43%)
$302.57M - $24.30M =$278.27M
4.67M left-858.3K (-15.54%)