BRBREXITBellring Brands Inc
$11.94M - $11.94M =Closed
-479.6K shares (100%)
DBRGEXITDigitalbridge Group Inc
$64.22M - $64.22M =Closed
-13.16M shares (100%)
INTCEXITIntel Corporation
$326.38M - $326.38M =Closed
-8.72M shares (100%)
NXSTEXITNexstar Media Group Inc
$45.25M - $45.25M =Closed
-277.8K shares (100%)
PSTHEXITPershing Square Tontine Holdings, Ltd.
$817.0K - $817.0K =Closed
-1.90M shares (100%)
88339KEXIT
Theravance Biopharma Inc
$25.91M - $25.91M =Closed
-28.10M shares (100%)
VRNTEXITVerint Systems Inc
-199.5K shares (100%)
GRABEXITGrab Holdings Limited
$14.39M - $14.39M =Closed
-6.11M shares (100%)
NEEXITNoble Corporation Plc
-66.7K shares (100%)
RBACEXITRedball Acquisition Corp
-1.64M shares (100%)
ISEXITIronsource Ltd
$13.93M - $13.93M =Closed
-5.85M shares (100%)
$1.07B - $280.06M =$789.53M
47.85M left-569.5K (-1.18%)
$657.13M - $119.06M =$538.08M
6.78M left-191.1K (-2.74%)
$386.92M - $50.92M =$336.00M
3.44M left-127.8K (-3.58%)
New Oriental Education & Technology Group Inc.
$162.88M =$184.23M
7.69M left-314.3K (-3.93%)
$63.51M - $35.49M =$28.02M
248.0K left-350.0K (-58.53%)
9.89M left-622.1K (-5.92%)
Cullinan Therapeutics Inc (formerly Cullinan Oncology Inc)
$19.69M - $14.18M =$5.51M
429.6K left-1.11M (-72.02%)