Companies Reporting Earnings on


Symbol Grade Name Close Avg Volume
ABR C Arbor Realty Trust 17.25 1,292,385
ACMR F ACM Research, Inc. 75.31 284,304
ACRE A Ares Commercial Real Estate Corporation 15.02 605,240
ADCT F ADC Therapeutics SA 22.61 403,041
ADNT B Adient plc 48.29 898,653
AG D First Majestic Silver Corp. 15.93 4,396,458
AHCO F AdaptHealth Corp. 25.41 1,480,747
AL C Air Lease Corporation 48.82 703,507
ALDX C Aldeyra Therapeutics, Inc. 12.05 2,675,066
ALTR C Altair Engineering Inc. 64.95 291,099
AMRS D Amyris, Inc. 11.41 4,942,831
AQN C Algonquin Power & Utilities Corp. 15.75 1,003,167
ARW C Arrow Electronics, Inc. 114.30 410,645
ATEC D Alphatec Holdings, Inc. 15.28 671,210
ATH A Athene Holding Ltd. 61.90 1,934,691
ATSG F Air Transport Services Group, Inc 25.32 439,971
AVYA D Avaya Holdings Corp. 26.20 863,776
AXNX C Axonics Modulation Technologies, Inc. 56.00 529,536
AXSM F Axsome Therapeutics, Inc. 56.36 372,303
AZUL C Azul S.A. 21.22 1,258,639
BAP F Credicorp Ltd. 116.72 529,883
BBDC A Barings BDC, Inc. 10.50 300,435
BECN A Beacon Roofing Supply, Inc. 59.01 402,861
BILL D Bill.com Holdings, Inc. 130.33 1,096,697
BL D BlackLine, Inc. 103.65 683,547
BLDR B Builders FirstSource, Inc. 52.00 1,937,551
BPMP B BP Midstream Partners LP 13.55 416,799
BPYU B Brookfield Property REIT Inc. 18.08 399,774
BR A Broadridge Financial Solutions, Inc. 164.90 460,596
BYND F Beyond Meat, Inc. 119.04 2,852,126
CDXS D Codexis, Inc. 19.82 564,377
CERT C Certara, Inc. 29.38 760,982
CGNX C Cognex Corporation 78.89 753,747
CMBM C Cambium Networks Corporation 56.39 300,708
CNQ A Canadian Natural Resources Limited 33.20 3,295,729
COLL D Collegium Pharmaceutical, Inc. 21.94 291,618
CWEN D Clearway Energy, Inc. Class C 27.34 843,131
CWEN.A D Clearway Energy, Inc. Class A 27.13 373,282
CWK A Cushman & Wakefield plc 18.09 787,423
DOCN D DigitalOcean Holdings, Inc. 42.27 561,277
EB C Eventbrite, Inc. 20.53 1,629,931
ERII C Energy Recovery, Inc. 20.37 510,281
ESNT C Essent Group Ltd. 49.40 868,747
EVOP C EVO Payments, Inc. 28.19 287,321
EVTC A Evertec, Inc. 42.53 398,287
EXC C Exelon Corporation 44.48 5,209,716
EXPI F eXp World Holdings, Inc. 28.16 1,960,295
FARM B Farmer Brothers Company 10.40 312,989
FLGT D Fulgent Genetics, Inc. 73.01 1,507,570
FNF A Fidelity National Financial, Inc. 46.22 2,205,878
FNKO C Funko, Inc. 21.22 2,927,560
FOUR C Shift4 Payments, Inc. 84.15 1,037,462
FROG F JFrog Ltd. 42.05 1,010,556
FVRR F Fiverr International Ltd. 179.80 795,334
GFL D GFL Environmental Inc. 32.48 927,809
GH C Guardant Health, Inc. 134.62 905,064
GPMT C Granite Point Mortgage Trust Inc. 13.02 372,491
GTN B Gray Communications Systems, Inc. 22.14 629,817
HCAT C Health Catalyst, Inc. 51.47 459,347
HII B Huntington Ingalls Industries, Inc. 218.31 323,476
HSC B Harsco Corporation 21.67 382,029
HWM B Howmet Aerospace Inc. 32.21 2,692,714
IEP D Icahn Enterprises L.P. 57.57 311,985
INSM F Insmed, Inc. 32.50 941,476
K B Kellogg Company 67.53 2,881,676
KIM B Kimco Realty Corporation 20.94 4,545,994
KL C Kirkland Lake Gold Ltd. 39.41 1,810,367
KURA F Kura Oncology, Inc. 25.00 714,107
LASR F nLIGHT, Inc. 26.03 274,791
LEA B Lear Corporation 192.21 365,749
LIN A Linde PLC 296.40 1,492,878
MAIN C Main Street Capital Corporation 41.58 326,316
MDU A MDU Resources Group, Inc. 34.00 1,022,807
MNRL B Brigham Minerals, Inc. 17.40 359,590
MRNA C Moderna, Inc. 160.50 10,251,014
MTZ A MasTec, Inc. 109.35 729,480
NBLX B Noble Midstream Partners LP 15.17 699,923
NFG A National Fuel Gas Company 51.24 323,542
NJR A NewJersey Resources Corporation 43.00 441,933
NLSN A Nielsen Holdings N.V. 26.64 2,957,625
NOMD B Nomad Foods 29.01 718,695
NTCT D NetScout Systems, Inc. 26.23 354,782
NTLA C Intellia Therapeutics, Inc. 66.48 1,344,419
NTRA C Natera, Inc. 96.31 803,205
OTEX D Open Text Corporation 46.52 489,507
OTRK F Ontrak, Inc. 28.65 1,016,073
OUT B OUTFRONT Media Inc. 24.15 1,528,864
PBA A Pembina Pipeline Corp. 32.23 1,258,436
PBF C PBF Energy Inc. 16.11 3,420,368
PFE B Pfizer, Inc. 39.19 27,512,315
PNW B Pinnacle West Capital Corporation 85.61 676,515
PPL C PPL Corporation 28.84 5,695,189
PRLB F Proto Labs, Inc. 101.26 452,247
PRMW C Primo Water Corporation 16.60 1,085,207
RETA F Reata Pharmaceuticals, Inc. - Class A 93.28 308,994
REZI C Resideo Technologies, Inc. 29.97 920,085
RGA A Reinsurance Group of America, Incorporated 134.43 357,893
RGS D Regis Corporation 10.27 269,186
RUTH B Ruth's Hospitality Group, Inc. 26.70 357,994
RVLV B Revolve Group, Inc. 51.75 1,109,591
SABR D Sabre Corporation 12.40 7,662,941
SEAS C SeaWorld Entertainment, Inc. 53.09 1,072,275
SEM A Select Medical Holdings Corporation 38.82 630,660
SHO C Sunstone Hotel Investors, Inc. 12.40 2,215,991
SR B Spire Inc. 76.41 256,707
SSP C E.W. Scripps Company (The) 21.41 511,469
SSSS B Sutter Rock Capital Corp. 15.10 456,659
SVMK F SVMK Inc. - SurveyMonkey 17.01 820,098
SWCH C Switch, Inc. 17.95 2,074,516
TEN C Tenneco Inc. 11.35 1,314,465
TPR C Tapestry, Inc. 46.80 3,460,841
TRHC D Tabula Rasa HealthCare, Inc. 42.67 321,163
TVTX F Travere Therapeutics, Inc. 23.50 456,691
TWNK B Hostess Brands, Inc. 15.59 1,130,592
TWST F Twist Bioscience Corporation 104.30 923,031
UFS A Domtar Corporation 48.49 843,997
VGR D Vector Group Ltd. 13.89 554,471
VIACP D ViacomCBS Inc. - 5.75% Series A Mandatory Convertible Preferred Stock 68.45 549,588
VIR F Vir Biotechnology, Inc. 41.61 1,180,457
VNT B Vontier Corporation 33.11 1,824,136
VTR C Ventas, Inc. 54.01 1,954,157
WBT C Welbilt, Inc. 21.99 3,519,880
WCC B WESCO International, Inc. 102.96 367,834
WFG A West Fraser Timber Co. Ltd 86.30 270,221
WPM C Wheaton Precious Metals Corp 43.52 2,351,473
XRAY B DENTSPLY International Inc. 67.39 1,786,050
YMAB F Y-mAbs Therapeutics, Inc. 28.65 320,403
ZGNX F Zogenix, Inc. 17.53 584,372

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