BKNGEXITBooking Holdings Inc
$321.86M - $321.86M =Closed
-76.4K shares (100%)
GEVEXITGE Vernova Inc
$294.76M - $294.76M =Closed
-1.16M shares (100%)
UNHEXITUnitedHealth Group Incorporated
$480.54M - $480.54M =Closed
-821.9K shares (100%)
$1.02B - $190.23M =$831.28M
3.79M left-1.69M (-30.89%)
Taiwan Semiconductor Manufacturing Co. Ltd.
$731.65M =$742.65M
3.76M left-452.4K (-10.74%)
$806.82M - $68.80M =$738.01M
5.35M left-1.45M (-21.35%)
$712.48M - $21.35M =$691.13M
1.64M left-16.1K (-0.97%)
Lpl Financial Holdings Inc
$507.17M =$627.80M
1.92M left-257.4K (-11.81%)
$590.58M =$598.76M
4.05M left-474.6K (-10.49%)
$639.89M - $116.60M =$523.29M
1.57M left-772.6K (-33.05%)
$460.36M - $32.63M =$427.72M
2.33M left-222.0K (-8.71%)
$572.15M - $163.44M =$408.71M
913.6K left-639.0K (-41.16%)
$392.13M =$398.26M
1.54M left-60.9K (-3.80%)
Constellation Energy Corp
$622.55M - $233.85M =$388.70M
1.74M left-656.7K (-27.43%)
$309.39M =$351.39M
1.09M left-1.28M (-54.21%)
$514.92M - $194.87M =$320.05M
3.77M left-3.90M (-50.91%)
$459.38M - $153.20M =$306.18M
441.8K left-109.5K (-19.87%)
Ares Management Corporation
$319.76M - $22.87M =$296.89M
1.68M left-374.8K (-18.27%)
$548.88M - $314.61M =$234.27M
1.72M left-1.21M (-41.32%)
Bitdeer Technologies Group
$10.16M =$21.38M
986.7K left-311.2K (-23.98%)