Companies Reporting Earnings on


Symbol Grade Name Close Avg Volume
AEIS C Advanced Energy Industries, Inc. 93.73 280,641
AEP C American Electric Power Company, Inc. 86.76 2,707,613
AKAM B Akamai Technologies, Inc. 113.16 1,658,429
ALB B Albemarle Corporation 163.81 1,017,241
ALE B Allete, Inc. 70.41 275,272
ALLO F Allogene Therapeutics, Inc. 27.50 808,161
AMCR B Amcor plc 12.37 5,709,581
AMP B Ameriprise Financial, Inc. 258.34 626,271
AMRC B Ameresco, Inc. 49.71 584,020
ANAB B AnaptysBio, Inc. 26.10 498,238
ANSS D ANSYS, Inc. 326.47 457,053
APA B Apache Corporation 21.56 7,371,500
ARES C Ares Management 52.41 907,621
ARNC B Arconic Inc. 35.96 1,016,418
ATO B Atmos Energy Corporation 100.46 697,006
ATRA D Atara Biotherapeutics, Inc. 14.99 791,978
AVB A AvalonBay Communities, Inc. 197.96 645,022
AVNS F Avanos Medical, Inc. 39.98 377,372
AWK C American Water Works Company, Inc. 152.83 962,960
AYX F Alteryx, Inc. 77.06 1,199,577
AZPN C Aspen Technology, Inc. 146.01 617,945
BCOR C Blucora, Inc. 16.17 335,007
BCRX B BioCryst Pharmaceuticals, Inc. 12.84 5,141,261
BEN B Franklin Resources, Inc. 34.54 3,289,552
BFAM F Bright Horizons Family Solutions Inc. 134.91 409,942
BG A Bunge Limited 90.63 1,039,311
BHC C Bausch Health Companies Inc. 29.07 3,193,064
BNFT C Benefitfocus, Inc. 14.22 253,375
BNL A Broadstone Net Lease, Inc. 20.59 811,097
BPMC C Blueprint Medicines Corporation 96.45 352,540
BRKR B Bruker Corporation 68.55 435,231
BWA B BorgWarner Inc. 51.43 2,083,180
CARS C Cars.com Inc. 13.61 455,272
CDW C CDW Corporation 169.45 792,408
CF B CF Industries Holdings, Inc. 54.34 1,929,250
CHRS C Coherus BioSciences, Inc. 15.13 901,356
CIM A Chimera Investment Corporation 13.53 1,787,193
CLDX C Celldex Therapeutics, Inc. 27.09 660,027
CLI B Mack-Cali Realty Corporation 16.85 523,375
CMI C Cummins Inc. 265.67 889,513
COMP F Compass, Inc. 14.15 1,207,946
CRSR F Corsair Gaming, Inc. 31.57 1,241,533
CTVA C Corteva, Inc. 46.32 2,776,737
CVI B CVR Energy Inc. 23.04 617,406
CVNA F Carvana Co. 237.53 1,333,807
CVS B CVS Caremark Corporation 84.33 6,412,712
CWH B Camping World Holdings, Inc. 45.77 1,247,883
CYRX D CryoPort, Inc. 50.02 448,247
CYTK B Cytokinetics, Incorporated 25.93 869,943
DCP B DCP Midstream, LP 26.24 733,888
DEA F Easterly Government Properties, Inc. 20.05 625,053
DHR B Danaher Corporation 253.58 2,039,837
DISCK D Discovery Communications, Inc. - Series C 30.74 10,950,626
DNOW B NOW Inc. 11.30 553,023
DX B Dynex Capital, Inc. 19.31 475,343
EAF A GrafTech International Ltd. 13.72 2,748,890
EPAY F Bottomline Technologies, Inc. 38.51 280,765
EPR B EPR Properties 47.94 535,469
EQIX C Equinix, Inc. 722.02 441,033
ES D Eversource Energy (D/B/A) 85.12 1,361,597
ESPR F Esperion Therapeutics, Inc. 22.88 639,891
ESS B Essex Property Trust, Inc. 288.37 338,032
ETN A Eaton Corporation, PLC 148.16 2,190,653
ETSY F Etsy, Inc. 163.11 3,222,261
EVRG B Evergy, Inc. 62.67 1,273,139
EXAS F Exact Sciences Corporation 96.74 1,485,300
EXR B Extra Space Storage Inc 144.63 677,883
FCPT D Four Corners Property Trust, Inc. 27.30 429,457
FORM F FormFactor, Inc. 33.80 461,407
FOXF B Fox Factory Holding Corp. 156.53 277,796
FRT B Federal Realty Investment Trust 112.53 657,280
FTDR D frontdoor, inc. 51.71 267,331
FTNT B Fortinet, Inc. 205.86 1,138,271
FUN D Cedar Fair, L.P. 46.60 403,664
GBT F Global Blood Therapeutics, Inc. 36.18 832,872
GDDY B GoDaddy Inc. 81.61 1,284,169
GNL C Global Net Lease, Inc. 18.65 490,906
GPC B Genuine Parts Company 131.96 752,766
GPN D Global Payments Inc. 198.93 1,283,274
GRBK C Green Brick Partners, Inc. 22.93 803,342
GRUB F GrubHub Inc. 58.55 1,091,759
H C Hyatt Hotels Corporation 79.23 460,655
HI D Hillenbrand Inc 46.68 324,481
HR C Healthcare Realty Trust Incorporated 30.28 892,242
HRTX F Heron Therapeutics, Inc. 13.85 1,481,563
HT C Hersha Hospitality Trust 11.05 444,447
HUBS B HubSpot, Inc. 498.05 510,291
IAA C IAA, Inc. 58.49 867,393
IAC D IAC/InterActiveCorp 228.29 582,308
ICHR D Ichor Holdings 50.88 365,535
IDXX B IDEXX Laboratories, Inc. 530.07 390,447
IIPR C Innovative Industrial Properties, Inc. 175.41 291,921
INTZ F Intrusion Inc. 10.84 498,528
INVH A Invitation Homes Inc. 35.11 3,244,768
IRT B Independence Realty Trust, Inc. 16.24 607,596
IRWD B Ironwood Pharmaceuticals, Inc. 11.68 1,807,393
KKR B KKR & Co. L.P. 56.14 2,165,448
KRG B Kite Realty Group Trust 20.56 593,510
KW D Kennedy-Wilson Holdings Inc. 19.58 373,894
LBTYA A Liberty Global plc - Class A 28.29 1,102,538
LBTYK A Liberty Global plc - Class C 28.25 2,228,946
LNC A Lincoln National Corporation 70.45 1,303,840
LNG A Cheniere Energy, Inc. 83.83 1,175,816
LNTH C Lantheus Holdings, Inc. 21.12 641,599
LPI C Laredo Petroleum Holdings, Inc. 41.68 573,677
LSCC D Lattice Semiconductor Corporation 46.37 1,820,440
LUMN B Lumen 14.43 10,543,352
LUNG F Pulmonx Corporation 37.61 455,005
LYFT D Lyft, Inc. 49.65 7,319,431
MAA A Mid-America Apartment Communities, Inc. 156.75 521,089
MCFE D McAfee Corp. 23.75 1,090,538
MCRB C Seres Therapeutics, Inc. 22.54 934,148
MNR B Monmouth Real Estate Investment Corporation 19.00 422,807
MPWR F Monolithic Power Systems, Inc. 316.52 399,026
MRCY F Mercury Systems Inc 63.73 520,586
MRO B Marathon Oil Corporation 11.80 22,013,320
MTCH D Match Group, Inc. 142.19 2,094,931
MTOR D Meritor, Inc. 26.58 440,346
MUR B Murphy Oil Corporation 20.27 2,822,414
NI B NiSource Inc 25.75 4,335,243
NMFC B New Mountain Finance Corporation 12.93 441,897
NMIH C NMI Holdings Inc 23.65 698,404
NUS B Nu Skin Enterprises, Inc. 58.77 375,499
NVTA F Invitae Corporation 27.74 4,176,404
NXST C Nexstar Broadcasting Group, Inc. 150.90 449,592
OMI D Owens & Minor, Inc. 31.84 844,313
PAA B Plains All American Pipeline, L.P. 10.14 4,250,073
PAGP B Plains Group Holdings, L.P. 10.38 2,493,640
PAYC F Paycom Software, Inc. 326.31 349,279
PERI D Perion Network Ltd 14.70 912,673
PRU A Prudential Financial, Inc. 107.68 2,128,986
PTCT F PTC Therapeutics, Inc. 37.99 587,683
PTON D Peloton Interactive, Inc. 96.58 13,757,775
PVAC B Penn Virginia Corporation 17.48 511,838
PVG C Pretium Resources, Inc. 11.19 1,024,005
PXD C Pioneer Natural Resources Company 157.05 2,240,619
PYPL D PayPal Holdings, Inc. 246.29 7,538,614
PZZA C Papa John's International, Inc. 96.65 427,536
QDEL F Quidel Corporation 118.21 925,302
QNST F QuinStreet, Inc. 18.03 304,676
QRTEA B Qurate Retail, Inc. - Series A 13.20 3,390,080
QTWO F Q2 Holdings, Inc. 93.99 511,767
RACE D Ferrari N.V. 198.65 345,146
RARE D Ultragenyx Pharmaceutical Inc. 110.88 393,652
RDN D Radian Group Inc. 22.97 994,513
RE B Everest Re Group, Ltd. 271.43 260,588
RGEN F Repligen Corporation 171.96 374,019
RGLD B Royal Gold, Inc. 123.16 394,197
RNG F Ringcentral, Inc. 239.99 1,012,921
RNR D RenaissanceRe Holdings Ltd. 160.62 409,131
RUN F Sunrun Inc. 41.42 6,176,061
SAVA D Cassava Sciences, Inc. 40.92 1,728,551
SAVE C Spirit Airlines, Inc. 34.97 4,025,859
SBH B Sally Beauty Holdings, Inc. 22.96 1,461,848
SBRA D Sabra Healthcare REIT, Inc. 17.10 1,879,774
SEDG F SolarEdge Technologies, Inc. 218.87 940,932
SILK F Silk Road Medical, Inc. 47.95 339,961
SJI B South Jersey Industries, Inc. 25.75 2,254,831
SMG C Scotts Miracle-Gro Company (The) 229.99 334,377
SPT B Sprout Social, Inc 61.82 524,854
SQ D Square, Inc. 207.85 10,528,863
SRPT D Sarepta Therapeutics, Inc. 76.05 1,015,311
STAA C STAAR Surgical Company 110.68 544,445
STAG B Stag Industrial, Inc. 35.66 1,003,799
STIM C Neuronetics, Inc. 12.78 451,709
TBPH D Theravance Biopharma, Inc. 18.72 293,978
TCP D TC PipeLines, LP 30.21 596,326
TMDX D TransMedics Group, Inc. 22.24 719,614
TMHC D Taylor Morrison Home Corporation 29.61 1,028,462
TMUS A T-Mobile US, Inc. 141.52 4,169,372
TNL B Travel + Leisure Co. 66.13 618,686
TRI B Thomson Reuters Corp 94.77 473,168
TRMB D Trimble Navigation Limited 76.31 1,486,103
TRNO B Terreno Realty Corporation 63.02 265,383
TSE B Trinseo S.A. 67.75 352,789
TVTY B Tivity Health, Inc. 24.30 308,017
UDR A UDR, Inc. 46.39 1,834,407
UGI A UGI Corporation 45.94 776,013
UPWK D Upwork Inc. 39.99 1,502,305
VERI F Veritone, Inc. 18.33 814,947
VIAV C Viavi Solutions Inc. 16.47 1,934,763
VMC A Vulcan Materials Company (Holding Company) 191.18 690,410
VNDA B Vanda Pharmaceuticals Inc. 18.65 412,982
VREX C Varex Imaging Corporation 23.93 265,784
VRTV B Veritiv Corporation 48.41 257,117
VVV B Valvoline Inc. 31.71 1,157,270
WELL D Welltower Inc. 73.22 1,593,832
WING D Wingstop Inc. 136.23 539,652
WK C Workiva Inc. 90.55 327,241
WM A Waste Management, Inc. 141.94 1,696,519
WOW B WideOpenWest, Inc. 15.84 316,131
WTRG B Essential Utilities, Inc. 46.38 787,610
XEC B Cimarex Energy Co 71.49 954,866
XLNX F Xilinx, Inc. 118.00 2,548,905
XPER C Xperi Corporation 20.94 558,667
Z F Zillow Group, Inc. - Class C 111.88 3,396,774
ZBRA C Zebra Technologies Corporation 486.73 303,323
ZNGA D Zynga Inc. 10.23 14,043,484
ZTS A Zoetis Inc. 172.29 1,477,550

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