AXPEXITAmerican Express Company
$550.09M - $550.09M =Closed
-6.06M shares (100%)
CMEEXITCme Group Inc
$440.55M - $440.55M =Closed
-5.61M shares (100%)
CHTREXITCharter Communications, Inc.
$105.92M - $105.92M =Closed
-774.5K shares (100%)
DLTREXITDollar Tree Inc
$458.59M - $458.59M =Closed
-8.13M shares (100%)
ENDPEXITEndo Health Solutions Inc
$292.78M - $292.78M =Closed
-4.34M shares (100%)
KMIEXITKinder Morgan Inc
$283.85M - $283.85M =Closed
-69.91M shares (100%)
Liberty Media Corporation
$222.63M - $222.63M =Closed
-1.52M shares (100%)
LOWEXITLowe'S Companies Inc
$104.78M - $104.78M =Closed
-2.11M shares (100%)
MJNEXITMead Johnson Nutrition Co
$298.24M - $298.24M =Closed
-3.56M shares (100%)
SEMGEXITSemgroup Corp
$254.81M - $254.81M =Closed
-3.91M shares (100%)
TWEXITTowers Watson & Co
$140.13M - $140.13M =Closed
-1.10M shares (100%)
UNGEXITUnited States Natural Gas Fund, LP
$341.38M - $341.38M =Closed
-16.50M shares (100%)
VRSNEXITVeriSign Inc
$379.30M - $379.30M =Closed
-6.34M shares (100%)
$803.88M - $5.72M =$798.16M
19.92M left-646.0K (-3.14%)
$761.27M - $93.21M =$668.06M
9.05M left-1.31M (-12.66%)
$679.53M - $23.34M =$656.20M
5.77M left-62.7K (-1.07%)
$936.19M - $285.36M =$650.83M
8.25M left-4.36M (-34.55%)
Twenty-First Century Fox, Inc.
$717.69M - $78.07M =$639.62M
20.01M left-399.5K (-1.96%)
$1.14B - $566.63M =$573.70M
10.34M left-8.56M (-45.30%)
$462.95M - $105.68M =$357.27M
4.88M left-1.40M (-22.34%)