$118.0K - $118.0K =Closed
-15.0K shares (100%)
$810.0K - $810.0K =Closed
-2.9K shares (100%)
CCLEXITCarnival Corporation
$10.45M - $10.45M =Closed
-688.1K shares (100%)
CMAEXITComerica Inc
-121.1K shares (100%)
NSITEXITInsight Enterprises Inc
$923.0K - $923.0K =Closed
-16.3K shares (100%)
IWNEXITiShares Trust
-30.2K shares (100%)
KKREXITKkr & Co Inc
-61.9K shares (100%)
OMCEXITOmnicom Group Inc.
$353.0K - $353.0K =Closed
-7.1K shares (100%)
PHEXITParker-Hannifin Corp
$65.90M - $65.90M =Closed
-325.7K shares (100%)
SEBEXITSeaboard Corp
$567.0K - $567.0K =Closed
-200 shares (100%)
WBAEXITWalgreens Boots Alliance Inc
$525.0K - $525.0K =Closed
-14.6K shares (100%)
PRGOEXITPerrigo Company Plc
$473.0K - $473.0K =Closed
-10.3K shares (100%)
MYLEXITMylan N.v.
$254.66M - $254.66M =Closed
-17.17M shares (100%)
$531.77M =$732.72M
4.61M left-269.0K (-5.52%)
$481.69M =$731.05M
38.68M left-1.29M (-3.24%)
Cognizant Technology Solutions Corp
$610.68M =$703.79M
8.59M left-208.9K (-2.37%)
American International Group Inc
$497.00M =$661.34M
17.47M left-585.0K (-3.24%)
Capital One Financial Corporation
$434.74M =$577.50M
5.84M left-207.6K (-3.43%)
$496.74M =$537.31M
3.09M left-246.0K (-7.37%)
$425.37M =$512.03M
24.12M left-670.2K (-2.70%)