Companies Reporting Earnings on


Symbol Grade Name Close Avg Volume
ABC D AmerisourceBergen Corporation (Holding Co) 101.22 1,100,614
ADS A Alliance Data Systems Corporation 96.50 913,169
AJG B Arthur J. Gallagher & Co. 119.80 731,934
AMGN F Amgen Inc. 224.92 2,422,261
APO B Apollo Global Management, LLC 49.46 1,151,798
APTV B Aptiv PLC 149.84 1,741,573
AXTA D Axalta Coating Systems Ltd. 27.34 2,420,492
BC B Brunswick Corporation 88.37 703,153
BEN B Franklin Resources, Inc. 26.17 2,957,670
BIIB D Biogen Idec Inc. 272.88 1,277,992
BX B The Blackstone Group L.P. 69.23 2,510,675
BZH B Beazer Homes USA, Inc. 17.67 415,887
CE A Celanese Corporation 138.91 807,303
CFFN A Capitol Federal Financial, Inc. 13.31 552,280
CFR A Cullen/Frost Bankers, Inc. 104.40 398,596
CMS F CMS Energy Corporation 54.11 1,827,575
CNX B CONSOL Energy Inc. 12.61 3,857,415
CPT B Camden Property Trust 104.15 593,295
CRS A Carpenter Technology Corporation 40.66 407,156
DD D DuPont de Nemours, Inc. 70.32 14,511,321
DGX F Quest Diagnostics Incorporated 115.59 1,253,046
DHR D Danaher Corporation 219.67 2,256,879
DOV D Dover Corporation 123.26 674,952
DOW B Dow Inc. 59.31 3,752,613
EMN B Eastman Chemical Company 109.26 815,413
EPD C Enterprise Products Partners L.P. 21.32 8,168,782
EW D Edwards Lifesciences Corporation 83.10 2,334,942
FHI D Federated Hermes, Inc. 26.72 601,862
FLEX C Flextronics International Ltd. 18.19 5,200,016
FLWS D 1-800 FLOWERS.COM, Inc. 28.28 1,012,505
GNTX B Gentex Corporation 35.38 1,558,726
HA A Hawaiian Holdings, Inc. 26.82 1,048,970
HSY D The Hershey Company 145.65 827,521
HTH A Hilltop Holdings Inc. 33.04 903,151
KEX A Kirby Corporation 62.56 437,184
KRNY A Kearny Financial 11.35 322,437
LAZ D Lazard LTD. 38.69 697,973
LPLA B LPL Financial Holdings Inc. 131.54 559,560
LUV A Southwest Airlines Company 58.13 7,295,952
MDC B M.D.C. Holdings, Inc. 56.57 585,621
MITK F Mitek Systems, Inc. 15.28 951,912
MMP F Magellan Midstream Partners L.P. Limited Partnership 41.67 1,510,338
MNRO B Monro Muffler Brake, Inc. 61.99 295,803
MO B Altria Group, Inc. 43.60 8,091,222
MSCI D MSCI Inc 414.52 470,154
MTOR B Meritor, Inc. 30.37 479,948
MUR A Murphy Oil Corporation 16.33 4,422,134
NATI B National Instruments Corporation 44.40 794,748
NFG B National Fuel Gas Company 45.44 481,761
NOC F Northrop Grumman Corporation 291.66 1,136,397
NTCT D NetScout Systems, Inc. 28.22 387,209
NVST A Envista Holdings Corporation 38.54 1,373,933
PFG A Principal Financial Group Inc 56.58 1,454,244
PFPT D Proofpoint, Inc. 120.92 613,951
POWI B Power Integrations, Inc. 88.37 395,232
RHI B Robert Half International Inc. 77.79 1,014,382
RMD D ResMed Inc. 192.78 558,692
ROP F Roper Industries, Inc. 377.62 565,020
SF A Stifel Financial Corporation 61.08 671,239
SHW D Sherwin-Williams Company (The) 680.34 443,341
SKYW A SkyWest, Inc. 56.37 350,855
SPB C Spectrum Brands Holdings, Inc. 77.55 303,989
SWKS B Skyworks Solutions, Inc. 177.82 2,247,998
TBBK B The Bancorp, Inc. 20.27 407,301
TFSL B TFS Financial Corporation 19.53 280,559
TMO D Thermo Fisher Scientific Inc 450.08 1,603,790
TROW B T. Rowe Price Group, Inc. 162.14 1,034,002
TSCO B Tractor Supply Company 158.96 1,250,704
UPS D United Parcel Service, Inc. 157.83 3,351,708
V A Visa Inc. 212.39 9,129,874
VLY A Valley National Bancorp 12.25 2,061,021
VRTX F Vertex Pharmaceuticals Incorporated 212.55 1,883,324
WDC A Western Digital Corporation 68.53 4,767,309
WRK D Westrock Company 43.59 1,763,998
X F United States Steel Corporation 16.61 17,178,116
XEL F Xcel Energy Inc. 58.59 2,328,986

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