Companies Reporting Earnings on


Symbol Grade Name Close Avg Volume
AAL C American Airlines Group, Inc. 22.40 38,716,325
AAPL C Apple Inc. 127.45 96,162,074
ABMD F ABIOMED, Inc. 268.56 264,123
AIMC B Altra Holdings, Inc. 65.87 347,000
AJG B Arthur J. Gallagher & Co. 147.30 848,546
ALEX B Alexander & Baldwin, Inc. 18.16 328,262
ALGN C Align Technology, Inc. 569.04 586,675
AMGN B Amgen Inc. 251.38 2,615,778
APH C Amphenol Corporation 66.36 2,672,523
ARR D ARMOUR Residential REIT, Inc. 12.02 1,419,276
ATOM F Atomera Incorporated 15.14 564,916
ATUS A Altice USA, Inc. 37.83 3,307,620
BAX C Baxter International Inc. 83.86 2,273,368
BC C Brunswick Corporation 108.84 592,323
BHLB A Berkshire Hills Bancorp, Inc. 26.43 268,039
BPOP A Popular, Inc. 80.99 547,649
BZH C Beazer Homes USA, Inc. 23.83 447,680
CAMT D Camtek Ltd. 27.36 288,411
CCS B Century Communities, Inc. 77.66 477,045
CFR A Cullen/Frost Bankers, Inc. 124.41 350,062
CG B The Carlyle Group L.P. 43.51 1,260,820
CHD B Church & Dwight Company, Inc. 88.55 1,188,098
CHEF C The Chefs' Warehouse, Inc. 31.36 375,793
CHX A ChampionX Corporation 25.77 1,432,929
CIT B CIT Group Inc (DEL) 53.59 751,154
CNMD B CONMED Corporation 142.12 267,599
COG C Cabot Oil & Gas Corporation 17.77 5,670,837
COLB C Columbia Banking System, Inc. 44.00 298,842
COLM D Columbia Sportswear Company 105.76 399,608
COR D CoreSite Realty Corporation 117.69 263,793
CUZ C Cousins Properties Incorporated 35.39 762,860
CXO C Concho Resources Inc. 65.60 2,764,041
CXP B Columbia Property Trust, Inc. 17.95 823,207
DAN B Dana Holding Corporation 27.37 1,029,219
DOW A Dow Inc. 69.83 4,273,951
DRVN C Driven Brands Holdings Inc. 28.13 639,495
EBS F Emergent Biosolutions, Inc. 62.00 758,165
EIX D Edison International 58.39 1,823,970
EME A EMCOR Group, Inc. 124.78 250,132
ESI B Element Solutions Inc. 22.62 1,791,571
ESRT B Empire State Realty Trust, Inc. 11.51 1,509,724
ETR B Entergy Corporation 107.18 1,221,717
EVR A Evercore Partners Inc 147.63 476,114
FB B Facebook, Inc. 315.94 19,778,548
FBHS B Fortune Brands Home & Security, Inc. 107.95 756,530
FBP A First BanCorp. 13.03 1,773,830
FHI A Federated Hermes, Inc. 33.25 761,260
FMBI C First Midwest Bancorp, Inc. 21.47 678,424
FTAI D Fortress Transportation and Infrastructure Investors LLC 27.34 511,718
FTV C Fortive Corporation 70.61 2,044,156
GILD B Gilead Sciences, Inc. 68.53 7,288,590
GLPI B Gaming and Leisure Properties, Inc. 45.98 1,055,279
GNRC D Generac Holdlings Inc. 300.89 688,454
GT A The Goodyear Tire & Rubber Company 19.96 3,911,636
GWB B Great Western Bancorp, Inc. 33.98 354,959
HGV B Hilton Grand Vacations Inc. 44.84 958,658
HP B Helmerich & Payne, Inc. 29.35 1,127,256
HTH B Hilltop Holdings Inc. 36.76 511,594
HUM B Humana Inc. 452.75 770,626
ICE D IntercontinentalExchange, Inc. 113.26 2,022,778
ICLR A ICON plc 229.20 667,741
IDA B IDACORP, Inc. 101.85 358,226
ILMN C Illumina, Inc. 381.03 977,371
ILPT B Industrial Logistics Properties Trust 24.81 271,569
IMAX D Imax Corporation 20.61 1,021,752
INT C World Fuel Services Corporation 33.80 340,739
IPG B Interpublic Group of Companies, Inc. (The) 32.52 3,887,693
KHC A The Kraft Heinz Company 43.73 6,036,667
LAZ A Lazard LTD. 46.64 668,471
LC D LendingClub Corporation 12.98 3,090,333
LPLA B LPL Financial Holdings Inc. 149.97 511,736
MCD B McDonald's Corporation 231.72 2,724,583
MCO A Moody's Corporation 334.04 651,443
MEOH C Methanex Corporation 37.98 302,851
MGM D MGM Resorts International 39.11 7,637,797
MMC B Marsh & McLennan Companies, Inc. 134.56 1,389,502
MO C Altria Group, Inc. 50.28 9,613,296
MOH B Molina Healthcare Inc 260.48 253,206
MTLS F Materialise NV 25.61 518,039
MUSA B Murphy USA Inc. 141.32 281,708
NATI D National Instruments Corporation 39.41 482,595
NCR B NCR Corporation 48.31 1,178,714
OFC C Corporate Office Properties Trust 27.17 707,518
OI A Owens-Illinois, Inc. 18.46 2,023,071
ORLY B O'Reilly Automotive, Inc. 553.33 495,963
OSTK C Overstock.com, Inc. 71.14 1,966,377
OVV B Ovintiv Inc. (DE) 26.16 2,408,851
PNR A Pentair, Ltd. 68.78 832,699
PRAH A PRA Health Sciences, Inc. 172.34 750,764
PSA B Public Storage 273.45 621,072
R B Ryder System, Inc. 85.14 458,443
RMD C ResMed Inc. 195.42 597,097
RRC A Range Resources Corporation 13.04 4,344,168
SF B Stifel Financial Corporation 70.17 578,394
SGEN C Seattle Genetics, Inc. 147.50 969,247
SHOP F Shopify Inc. 1085.01 1,367,132
SITC B SITE Centers Corp. 14.77 1,997,525
SIX C Six Flags Entertainment Corporation 43.53 1,305,710
SLGN B Silgan Holdings, Inc. 43.27 349,271
SNAP D Snap Inc. 52.99 23,409,765
SNDR B Schneider National, Inc. 25.73 443,617
SO B Southern Company (The) 65.11 3,254,444
SSNC A SS&C Technologies Holdings, Inc. 74.26 1,171,014
STAR C iStar Financial Inc. 17.80 517,870
SWK B Stanley Black & Decker, Inc. 216.01 1,098,522
SYK B Stryker Corporation 252.95 973,280
SYNH B Syneos Health, Inc. 85.75 936,305
TBBK B The Bancorp, Inc. 24.52 814,852
TDOC F Teladoc, Inc. 139.68 3,616,104
TDS A Telephone and Data Systems, Inc. 25.72 1,061,698
TDY C Teledyne Technologies Incorporated 425.84 257,507
TEAM D Atlassian Corporation Plc 214.99 1,475,740
TECK B Teck Resources Ltd 25.47 5,034,222
TEX A Terex Corporation 54.59 636,775
TPX C Tempur Sealy International, Inc. 37.89 1,907,191
TROX A Tronox Limited 23.28 1,264,005
TRUP D Trupanion, Inc. 78.02 397,018
TWOU F 2U, Inc. 34.88 1,455,355
TXT A Textron Inc. 67.99 1,007,961
UAL C United Continental Holdings 55.28 15,339,750
UBSI A United Bankshares, Inc. 42.29 437,240
UCTT C Ultra Clean Holdings, Inc. 48.71 809,563
URI B United Rentals, Inc. 341.79 660,206
V B Visa Inc. 226.94 7,455,085
VC D Visteon Corporation 116.77 277,858
VICI B VICI Properties Inc. 30.87 4,230,915
VLY A Valley National Bancorp 14.52 2,773,040
VNE D Veoneer, Inc. 22.53 495,932
WCN B Waste Connections, Inc. 121.26 910,005
WRE D Washington Real Estate Investment Trust 22.81 445,738
X C United States Steel Corporation 25.50 23,501,881
ZEN D Zendesk, Inc. 135.04 1,011,340

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