Companies Reporting Earnings on


Symbol Grade Name Close Avg Volume
ADM A Archer-Daniels-Midland Company 67.66 2,517,662
ADP A Automatic Data Processing, Inc. 194.64 1,735,245
AGNC A American Capital Agency Corp. 18.18 6,223,386
ALKS B Alkermes plc 22.26 1,317,130
AMD F Advanced Micro Devices, Inc. 74.59 45,748,650
AMT C American Tower Corporation (REIT) 246.76 2,038,877
APLS C Apellis Pharmaceuticals, Inc. 44.26 637,771
AR A Antero Resources Corporation 11.84 7,162,616
ATRC C AtriCure, Inc. 72.00 387,173
AVTR B Avantor, Inc. 31.61 3,693,061
AVY B Avery Dennison Corporation 219.06 513,684
AX C Axos Financial, Inc. 46.47 271,008
BA D Boeing Company (The) 228.47 16,235,876
BANC C Banc of California, Inc. 17.87 274,589
BCOV F Brightcove Inc. 13.72 379,598
BKU B BankUnited, Inc. 47.87 519,208
BMRN F BioMarin Pharmaceutical Inc. 76.93 952,983
BPFH A Boston Private Financial Holdings, Inc. 15.19 961,168
BRKL A Brookline Bancorp, Inc. 16.77 296,452
BSX C Boston Scientific Corporation 41.55 7,358,530
CADE B Cadence Bancorporation 23.09 1,094,054
CB B Chubb Corporation (The) 170.18 2,078,230
CCI B Crown Castle International Corporation 181.11 1,801,422
CFFN C Capitol Federal Financial, Inc. 13.03 451,769
CME A CME Group Inc. 216.99 1,435,145
CMRE C Costamare Inc. 10.32 566,988
COF A Capital One Financial Corporation 158.11 2,719,401
CONE D CyrusOne Inc 69.59 657,981
COWN B Cowen Group, Inc. 41.27 757,141
CREE D Cree, Inc. 91.82 1,574,239
CROX C Crocs, Inc. 101.98 1,317,071
CSTM B Constellium N.V. 16.93 1,005,100
DRE B Duke Realty Corporation 44.95 1,905,585
EAT C Brinker International, Inc. 63.55 844,125
EBAY C eBay Inc. 60.86 7,426,324
ENPH F Enphase Energy, Inc. 119.78 3,421,905
ENTG C Entegris, Inc. 109.45 933,019
FEYE C FireEye, Inc. 20.55 4,128,803
GD B General Dynamics Corporation 191.94 1,093,875
GE C General Electric Company 13.26 73,372,065
GOOG B Alphabet Inc. - Class C 2316.16 1,395,022
GOOGL B Alphabet Inc. - Class A 2278.38 1,564,274
GPK B Graphic Packaging Holding Company 19.07 2,663,092
GRMN B Garmin Ltd. 140.39 600,357
HAS C Hasbro, Inc. 96.30 821,755
HIG B Hartford Financial Services Group, Inc. (The) 66.07 3,451,726
HIW C Highwoods Properties, Inc. 43.51 644,612
HOLX F Hologic, Inc. 63.74 2,099,875
IEX B IDEX Corporation 224.36 398,551
INOV A Inovalon Holdings, Inc. 30.71 426,921
INVA B Innoviva, Inc. 12.87 466,607
ISBC B Investors Bancorp, Inc. 15.02 2,220,172
IVZ B Invesco Plc 27.96 3,350,401
KBR A KBR, Inc. 42.34 1,550,508
KRA D Kraton Performance Polymers, Inc 35.17 267,017
KRC D Kilroy Realty Corporation 66.75 998,558
KRNY A Kearny Financial 13.24 301,639
LH B Laboratory Corporation of America Holdings 274.50 560,475
LIVN B LivaNova PLC 84.09 365,174
LLY B Eli Lilly and Company 196.21 2,950,827
MANH B Manhattan Associates, Inc. 133.73 347,310
MAS B Masco Corporation 64.15 1,609,387
MHO C M/I Homes, Inc. 69.73 260,894
MKTX D MarketAxess Holdings, Inc. 456.30 278,991
MPW D Medical Properties Trust, Inc. 20.82 2,908,040
MRC A MRC Global Inc. 11.82 421,227
MSFT B Microsoft Corporation 248.15 27,185,860
MTDR A Matador Resources Company 29.92 1,623,330
MTSI D M/A-COM Technology Solutions Holdings, Inc. 51.08 628,055
MXL D MaxLinear, Inc 33.93 519,855
NAVI A Navient Corporation 17.34 2,042,667
NOC A Northrop Grumman Corporation 371.61 925,307
NOW F ServiceNow, Inc. 460.33 1,627,459
NSC A Norfolk Southern Corporation 289.83 950,749
NYCB C New York Community Bancorp, Inc. 11.76 5,243,782
OC B Owens Corning Inc 106.47 758,418
OLN A Olin Corporation 46.79 1,433,651
OSK A Oshkosh Corporation 135.36 437,851
PB C Prosperity Bancshares, Inc. 75.37 330,830
PCAR C PACCAR Inc. 94.66 1,724,639
PDM C Piedmont Office Realty Trust, Inc. 18.07 611,959
PEGA D Pegasystems Inc. 120.35 334,589
PFG A Principal Financial Group Inc 66.83 1,377,685
PGRE B Paramount Group, Inc. 10.35 1,437,645
PHM C PulteGroup, Inc. 58.46 2,558,711
PPC A Pilgrim's Pride Corporation 25.43 425,711
PTC D PTC Inc. 129.01 937,269
QCOM F QUALCOMM Incorporated 130.15 9,821,266
RJF B Raymond James Financial, Inc. 134.17 609,868
ROIC B Retail Opportunity Investments Corp. 17.57 917,923
ROL C Rollins, Inc. 36.92 1,348,745
SBUX C Starbucks Corporation 111.20 6,123,215
SHW A Sherwin-Williams Company (The) 286.09 1,301,405
SLAB D Silicon Laboratories, Inc. 125.28 330,061
SM C SM Energy Company 17.64 3,592,751
SPOT F Spotify Technology S.A. 223.59 1,545,845
ST C Sensata Technologies Holding N.V. 58.00 992,999
SYF A Synchrony Financial 46.80 6,143,023
TER D Teradyne, Inc. 122.35 1,823,855
TFII A TFI International Inc. 89.42 253,057
TRN B Trinity Industries, Inc. 29.14 706,136
TSLA D Tesla Motors, Inc. 589.74 35,095,854
TTEK D Tetra Tech, Inc. 122.31 283,473
TTMI A TTM Technologies, Inc. 14.96 1,117,886
TXN C Texas Instruments Incorporated 183.27 4,475,339
UPS A United Parcel Service, Inc. 216.38 3,361,698
VBTX A Veritex Holdings, Inc. 35.26 267,317
VLO B Valero Energy Corporation 81.21 3,614,489
VRTX C Vertex Pharmaceuticals Incorporated 217.09 1,544,938

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