Companies Reporting Earnings on


Symbol Grade Name Close Avg Volume
AAT B American Assets Trust, Inc. 34.97 270,641
AB B Allianceberstein Holding L.P. Units 44.37 444,955
ACA C Arcosa, Inc. 62.88 253,370
AMKR D Amkor Technology, Inc. 19.37 1,699,315
APAM C Artisan Partners Asset Management Inc. 52.10 606,309
ARE B Alexandria Real Estate Equities, Inc. 173.83 703,623
ARVN C Arvinas, Inc. 66.91 366,202
AVT B Avnet, Inc. 43.47 785,255
AWI A Armstrong World Industries Inc 107.23 306,366
BRO B Brown & Brown, Inc. 52.51 934,668
BXMT C Blackstone Mortgage Trust, Inc. 31.26 1,019,107
BXP A Boston Properties, Inc. 108.20 968,515
BYD C Boyd Gaming Corporation 61.80 930,626
CALX C Calix, Inc 41.44 800,588
CAT A Caterpillar, Inc. 242.23 2,954,706
CATY B Cathay General Bancorp 43.04 338,760
CBSH B Commerce Bancshares, Inc. 80.12 390,778
CDNS D Cadence Design Systems, Inc. 124.28 1,746,707
CE A Celanese Corporation 167.19 689,612
CHKP C Check Point Software Technologies Ltd. 118.95 1,128,002
CHRW B C.H. Robinson Worldwide, Inc. 99.78 979,087
CINF A Cincinnati Financial Corporation 120.96 713,045
CMS C CMS Energy Corporation 63.50 1,907,959
CNC B Centene Corporation 69.20 3,446,633
CNI D Canadian National Railway Company 107.33 1,188,165
CNX C CONSOL Energy Inc. 13.80 2,798,955
CRSP F CRISPR Therapeutics AG 106.64 1,683,183
CSGP D CoStar Group, Inc. 821.90 253,001
CYH B Community Health Systems, Inc. 14.14 2,985,967
DTE B DTE Energy Company 141.12 672,430
EBIX F Ebix, Inc. 28.53 462,433
ECL B Ecolab Inc. 224.06 851,062
EHC B Encompass Health Corporation 86.36 566,732
F C Ford Motor Company 11.84 61,652,025
FBC C Flagstar Bancorp, Inc. 45.84 704,116
FCF A First Commonwealth Financial Corporation 15.30 381,393
FFIV D F5 Networks, Inc. 181.27 598,286
GLW B Corning Incorporated 44.28 4,262,120
HOG B Harley-Davidson, Inc. 47.69 2,153,633
HONE A HarborOne Bancorp, Inc. 14.82 256,830
HOPE B Hope Bancorp, Inc. 15.72 786,323
HWC A Hancock Whitney Corporation 50.02 448,799
IQV A IQVIA Holdings, Inc. 234.04 836,334
IRDM C Iridium Communications Inc 37.28 1,008,338
KDP A Keurig Dr Pepper Inc. 36.05 5,636,645
KNL A Knoll, Inc. 25.22 1,394,497
KREF B KKR Real Estate Finance Trust Inc. 20.30 409,211
LRN F K12 Inc 27.57 717,305
LU D Lufax Holding Ltd 11.60 4,270,102
MASI F Masimo Corporation 219.92 334,578
MDLZ A Mondelez International, Inc. 62.37 7,595,573
MKSI C MKS Instruments, Inc. 178.91 364,154
MMM A 3M Company 204.38 2,101,798
MSCI B MSCI Inc 463.46 318,885
MSTR D MicroStrategy Incorporated 521.31 602,081
MTH B Meritage Homes Corporation 112.68 375,285
MXIM B Maxim Integrated Products, Inc. 92.85 2,434,872
NTP A Nam Tai Property Inc. 20.72 406,810
NUE A Nucor Corporation 102.51 3,540,377
NWBI C Northwest Bancshares, Inc. 14.22 568,550
NXPI C NXP Semiconductors N.V. 192.27 4,387,570
OKE A ONEOK, Inc. 54.35 2,674,170
OMC B Omnicom Group Inc. 83.64 1,854,584
OMF C OneMain Holdings, Inc. 54.56 1,041,595
OTIS A Otis Worldwide Corporation 78.88 2,332,829
PCH C Potlatch Corporation 60.08 509,010
PEP A Pepsico, Inc. 146.59 5,536,630
PII C Polaris Industries Inc. 134.41 669,262
PKG A Packaging Corporation of America 154.25 446,616
PPBI B Pacific Premier Bancorp Inc 46.01 346,311
PPG A PPG Industries, Inc. 179.10 1,293,754
PSXP B Phillips 66 Partners LP 36.06 885,333
QTS D QTS Realty Trust, Inc. 62.64 480,463
ROK B Rockwell Automation, Inc. 267.46 626,143
ROP B Roper Industries, Inc. 438.35 411,621
SANM A Sanmina Corporation 42.35 354,066
SC A Santander Consumer USA Holdings Inc. 36.32 758,660
SPGI B S&P Global Inc. 379.16 1,271,575
SSTK C Shutterstock, Inc. 87.66 287,893
STL A Sterling Bancorp 26.43 4,059,314
SUI B Sun Communities, Inc. 163.31 526,139
TAL F TAL Education Group 48.74 5,417,630
TCF C TCF Financial Corporation 47.35 826,654
TEL B TE Connectivity 134.20 1,468,767
TENB C Tenable Holdings, Inc. 39.72 996,652
TRU A TransUnion 108.05 1,178,323
TX B Ternium S.A. 40.41 869,413
UHS A Universal Health Services, Inc. 159.76 523,963
WERN B Werner Enterprises, Inc. 48.47 550,473
WSBC A WesBanco, Inc. 39.49 259,413
WSFS B WSFS Financial Corporation 53.29 382,210
XRX C Xerox Corporation 24.21 1,996,535
YNDX D Yandex N.V. 63.43 1,958,943
YUMC A Yum China Holdings, Inc. 63.12 1,654,462

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