$620.20M - $620.20M =Closed
-1.09M shares (100%)
AMPLEXITAmplitude Inc
$99.37M - $99.37M =Closed
-1.88M shares (100%)
CFLTEXITConfluent Inc
$335.35M - $335.35M =Closed
-4.40M shares (100%)
FRSHEXITFreshworks Inc.
-275.0K shares (100%)
BEKEEXITKe Holdings Inc
$622.86M - $622.86M =Closed
-30.96M shares (100%)
NTESEXITNetease, Inc.
$453.18M - $453.18M =Closed
-4.45M shares (100%)
PVHEXITPvh Corp.
$326.95M - $326.95M =Closed
-3.07M shares (100%)
SNOWEXITSnowflake Inc.
$557.80M - $557.80M =Closed
-1.65M shares (100%)
$2.06B - $605.08M =$1.45B
445.8K left-171.5K (-27.79%)
$1.59B - $361.81M =$1.23B
5.12M left-692.2K (-11.90%)
$1.30B - $199.68M =$1.10B
1.98M left-26.4K (-1.32%)
$1.70B - $633.72M =$1.06B
22.22M left-2.08M (-8.55%)
$1.73B - $868.37M =$864.56M
2.42M left-2.40M (-49.84%)
$1.05B - $284.08M =$763.42M
3.44M left-1.39M (-28.78%)
$1.91B - $1.21B =$699.15M
1.03M left-355.3K (-25.57%)
$1.17B - $499.01M =$674.35M
6.20M left-2.67M (-30.10%)
$1.57B - $910.06M =$664.44M
18.46M left-15.02M (-44.86%)
$1.23B - $694.96M =$533.77M
4.55M left-3.70M (-44.80%)
$582.90M - $133.75M =$449.15M
2.97M left-307.4K (-9.39%)
UnitedHealth Group Incorporated
$1.15B - $711.54M =$441.42M
865.6K left-1.43M (-62.30%)