Companies Reporting Earnings on


Symbol Grade Name Close Avg Volume
ADS B Alliance Data Systems Corporation 115.96 767,792
AEM C Agnico Eagle Mines Limited 68.88 1,176,092
AGIO B Agios Pharmaceuticals, Inc. 54.95 705,854
ALNY D Alnylam Pharmaceuticals, Inc. 132.92 469,456
AMZN C Amazon.com, Inc. 3161.47 3,578,755
AON B Aon plc 252.00 1,477,511
APO B Apollo Global Management, LLC 56.20 2,755,131
ATGE C Adtalem Global Education Inc. 36.69 391,247
ATKR B Atkore International Group Inc. 82.13 504,300
BCE A BCE, Inc. 48.64 1,284,128
BERY A Berry Plastics Group, Inc. 69.03 987,685
CARR B Carrier Global Corporation 43.25 6,047,214
CBOE A CBOE Holdings, Inc. 113.66 567,781
CCOI B Cogent Communications Group, Inc. 76.83 306,674
CHTR A Charter Communications, Inc. 685.30 997,404
CL A Colgate-Palmolive Company 83.26 4,412,541
CLX F Clorox Company (The) 182.63 1,406,052
CMCSA A Comcast Corporation - Class A 57.39 16,625,304
COOP D Mr. Cooper Group Inc. 32.90 845,468
CRS C Carpenter Technology Corporation 42.34 315,932
CTXS F Citrix Systems, Inc. 116.72 1,138,888
CVX B Chevron Corporation 106.68 9,899,615
DPZ B Domino's Pizza Inc 422.40 629,822
DXCM D DexCom, Inc. 323.96 779,028
EEFT D Euronet Worldwide, Inc. 140.57 375,116
EGO D Eldorado Gold Corporation 10.82 1,709,314
EHTH F eHealth, Inc. 63.64 591,243
EMN A Eastman Chemical Company 127.59 788,199
ENVA B Enova International, Inc. 35.37 367,840
FCN A FTI Consulting, Inc. 142.96 350,438
FIVN C Five9, Inc. 159.50 697,128
FLWS B 1-800 FLOWERS.COM, Inc. 31.54 885,730
HON B Honeywell International Inc. 223.68 2,341,589
HRC C Hill-Rom Holdings Inc 111.22 319,092
HSY A The Hershey Company 171.60 901,944
HUN B Huntsman Corporation 30.07 2,231,843
IP A International Paper Company 62.52 2,296,874
ITT B ITT Corporation 95.50 502,963
JHG A Janus Henderson Group plc 37.57 895,087
LIND D Lindblad Expeditions Holdings Inc. 15.64 331,612
LKQ A LKQ Corporation 49.25 1,741,830
LYB B LyondellBasell Industries NV 110.54 1,387,614
MA C Mastercard Incorporated 360.02 3,409,303
MERC C Mercer International Inc. 15.51 273,020
MITK B Mitek Systems, Inc. 15.56 590,784
MMP A Magellan Midstream Partners L.P. Limited Partnership 48.53 1,340,276
MMSI C Merit Medical Systems, Inc. 59.68 259,685
MRK C Merck & Company, Inc. 78.69 11,623,529
MSGN D The Madison Square Garden Company 14.95 620,396
MVIS D Microvision, Inc. 12.48 28,831,881
NIO F NIO Inc. 31.22 96,219,240
NWL A Newell Rubbermaid Inc. 28.58 2,317,708
OCFC D OceanFirst Financial Corp. 22.10 290,417
PCG D Pacific Gas & Electric Co. 10.63 13,167,944
PH A Parker-Hannifin Corporation 316.21 815,044
PSX A Phillips 66 84.35 2,451,891
QSR B Restaurant Brands International Inc. 66.69 1,344,518
RFP A Resolute Forest Products Inc. 15.06 975,880
SLCA C U.S. Silica Holdings, Inc. 11.00 1,119,413
SWI F SolarWinds Corporation 16.02 963,722
TAP A Molson Coors Brewing Company Class B 58.24 2,231,258
TKR A Timken Company (The) 88.88 507,146
TMO D Thermo Fisher Scientific Inc 456.92 1,595,647
TRP B TransCanada Corporation 49.63 1,824,845
TWTR F Twitter, Inc. 50.11 17,388,818
VCRA F Vocera Communications, Inc. 32.70 382,193
WDC C Western Digital Corporation 66.37 4,433,755
WLTW B Willis Towers Watson PLC 263.14 900,730
WPC B W.P. Carey Inc. REIT 72.95 875,325
WST B West Pharmaceutical Services, Inc. 328.30 347,969
WY B Weyerhaeuser Company 38.12 4,467,612
XOM B Exxon Mobil Corporation 59.30 24,491,867
ZYXI F Zynex, Inc. 13.48 395,268

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