Companies Reporting Earnings on


Symbol Grade Name Close Avg Volume
ADI B Analog Devices, Inc. 155.82 2,595,073
AEL D American Equity Investment Life Holding Company 27.63 715,040
ALB D Albemarle Corporation 157.21 1,958,649
ALSN F Allison Transmission Holdings, Inc. 37.92 930,696
AROC A Archrock, Inc. 10.31 778,025
ARR B ARMOUR Residential REIT, Inc. 12.07 1,058,506
ATHM C Autohome Inc. 114.04 627,298
AXTI C AXT Inc 12.93 569,700
BCOR B Blucora, Inc. 16.20 390,672
BCOV B Brightcove Inc. 21.78 348,019
CAKE A The Cheesecake Factory Incorporated 54.95 1,116,383
CAR A Avis Budget Group, Inc. 55.55 1,413,925
CONE F CyrusOne Inc 65.63 784,775
CPRT D Copart, Inc. 109.16 1,157,707
CSTM D Constellium N.V. 13.24 719,061
CVI C CVR Energy Inc. 22.08 595,742
DISH D DISH Network Corporation 31.51 4,770,566
DNOW A NOW Inc. 10.63 1,212,065
ELAN A Elanco Animal Health Incorporated 32.86 3,177,717
ES F Eversource Energy (D/B/A) 79.48 1,450,637
ESRT A Empire State Realty Trust, Inc. 11.01 1,620,012
FIVN A Five9, Inc. 185.24 700,777
FUN A Cedar Fair, L.P. 49.17 469,778
GDOT F Green Dot Corporation 47.26 576,584
GLDD B Great Lakes Dredge & Dock Corporation 15.19 419,499
GPC A Genuine Parts Company 105.35 770,603
GRMN B Garmin Ltd. 124.02 702,639
H A Hyatt Hotels Corporation 87.95 615,288
HNI C HNI Corporation 35.59 252,841
HST A Host Hotels & Resorts, Inc. 16.59 7,744,560
IART B Integra LifeSciences Holdings Corporation 68.34 388,034
ICLR F ICON plc 180.68 328,781
IMAX A Imax Corporation 20.67 849,884
INOV C Inovalon Holdings, Inc. 24.56 635,568
IQ A iQIYI, Inc. 25.33 12,252,044
LAND B Gladstone Land Corporation 17.89 296,058
LASR C nLIGHT, Inc. 38.12 312,638
LILA D Liberty Global plc - Class A 10.97 289,602
LILAK D Liberty Global plc - Class C 10.96 785,020
LOPE B Grand Canyon Education, Inc. 104.69 328,234
LPI F Laredo Petroleum Holdings, Inc. 32.59 491,853
LSI A Life Storage, Inc. 83.90 630,014
MOS B Mosaic Company (The) 29.40 5,401,879
MX B MagnaChip Semiconductor Corporation 18.69 555,250
NDSN F Nordson Corporation 192.41 292,379
NHI C National Health Investors, Inc. 68.27 263,737
NVTA F Invitae Corporation 40.13 4,483,432
O F Realty Income Corporation 60.26 2,810,969
OC B Owens Corning Inc 81.02 896,962
OGS F ONE Gas, Inc. 66.97 261,004
OSUR F OraSure Technologies, Inc. 10.60 1,015,818
PE B Parsley Energy, Inc. 16.93 6,986,591
PRDO D Perdoceo Education Corporation 12.87 391,883
PXD A Pioneer Natural Resources Company 148.57 2,545,965
QTWO D Q2 Holdings, Inc. 121.88 473,781
RPRX F Royalty Pharma plc 46.57 2,897,087
RPT A Ramco-Gershenson Properties Trust 10.97 484,775
SAH A Sonic Automotive, Inc. 46.11 346,492
SBLK A Star Bulk Carriers Corp. 14.08 1,115,968
SEDG D SolarEdge Technologies, Inc. 298.31 1,197,485
SM A SM Energy Company 13.86 5,115,379
SNBR A Sleep Number Corporation 137.13 434,309
SNPS D Synopsys, Inc. 245.21 761,716
SPTN D Spartan Stores, Inc. 18.23 412,825
SSRM F SSR Mining Inc. 14.19 1,870,183
STMP F Stamps.com Inc. 181.93 362,488
SUI B Sun Communities, Inc. 151.95 615,289
SUN B Sunoco LP 30.60 456,878
TLRY C Tilray, Inc. 24.36 43,446,433
TRN A Trinity Industries, Inc. 32.10 815,173
TRTN A Triton International Limited 57.78 435,955
TRTX D TPG RE Finance Trust, Inc. 10.44 355,678
TVTY B Tivity Health, Inc. 23.80 397,320
UE B Urban Edge Properties 16.50 833,879
UFPI A Universal Forest Products, Inc. 61.00 310,801
WING F Wingstop Inc. 136.15 462,976
WMB B Williams Companies, Inc. (The) 22.84 8,412,559
WRI B Weingarten Realty Investors 25.39 785,411
XEC A Cimarex Energy Co 57.99 1,218,581
ZG C Zillow Group, Inc. 169.82 780,306

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