Companies Reporting Earnings on


Symbol Grade Name Close Avg Volume
AAN B Aaron's, Inc. 32.57 292,840
AAWW A Atlas Air Worldwide Holdings 74.08 460,728
ABC C AmerisourceBergen Corporation (Holding Co) 116.52 1,037,398
ACAD F ACADIA Pharmaceuticals Inc. 21.77 3,028,750
ACIW C ACI Worldwide, Inc. 39.84 597,328
AEL C American Equity Investment Life Holding Company 31.20 447,512
AERI C Aerie Pharmaceuticals, Inc. 17.41 486,424
AES D The AES Corporation 25.37 5,780,069
AGO C Assured Guaranty Ltd. 47.25 538,911
ALGM F Allegro MicroSystems, Inc. 23.73 619,208
ALL A Allstate Corporation (The) 139.26 1,909,900
ALRM D Alarm.com Holdings, Inc. 82.51 285,297
AMH A American Homes 4 Rent 37.31 1,515,003
APPN F Appian Corporation 83.26 909,914
AQUA B Evoqua Water Technologies Corp. 29.11 1,005,910
ARI A Apollo Commercial Real Estate Finance, Inc 15.20 845,607
ARNA F Arena Pharmaceuticals, Inc. 61.46 419,956
ARWR C Arrowhead Research Corporation 72.83 707,131
ASB B Associated Banc-Corp 23.24 1,340,470
AVID B Avid Technology, Inc. 27.36 515,056
AVLR F Avalara, Inc. 122.94 805,902
AXON D Axon Enterprise, Inc. 132.76 413,737
AY D Atlantica Yield plc 35.44 1,207,938
BAND F Bandwidth Inc. 114.11 455,562
BCC C Boise Cascade, L.L.C. 69.67 323,636
BDC B Belden Inc 52.38 313,246
BDX D Becton, Dickinson and Company 242.38 1,254,238
BE F Bloom Energy Corporation 20.30 3,416,922
BJRI D BJ's Restaurants, Inc. 54.96 320,758
BKNG D Booking Holdings Inc. 2282.48 396,606
BLL C Ball Corporation 89.10 1,833,229
BMY B Bristol-Myers Squibb Company 64.88 10,642,809
BRX B Brixmor Property Group Inc. 22.46 2,106,456
BSIG B BrightSphere Investment Group plc 23.08 469,272
CARG B CarGurus, Inc. 28.58 1,219,517
CBRE A CBRE Group Inc 86.32 1,361,195
CDAY C Ceridian HCM Holding Inc. 88.31 858,074
CDNA D CareDx, Inc. 66.00 669,645
CELC B Celcuity Inc. 26.91 473,525
CENX D Century Aluminum Company 15.11 1,702,497
CERN B Cerner Corporation 76.80 2,387,201
CFX C Colfax Corporation 43.92 1,557,329
CLH B Clean Harbors, Inc. 93.79 250,125
CNHI A CNH Industrial N.V. 17.01 2,523,679
CNP A CenterPoint Energy, Inc (Holding Co) 25.02 5,267,591
COLD C Americold Realty Trust 38.36 1,807,265
COMM B CommScope Holding Company, Inc. 18.16 2,836,045
CPA D Copa Holdings, S.A. 82.68 374,820
CPE C Callon Petroleum Company 36.71 2,240,210
CPT A Camden Property Trust 122.27 574,875
CRL B Charles River Laboratories International, Inc. 329.07 426,733
CRTO C Criteo S.A. 36.19 765,533
CTB A Cooper Tire & Rubber Company 59.72 474,782
CTRE D CareTrust REIT, Inc. 22.68 598,896
CTSH D Cognizant Technology Solutions Corporation 71.01 3,334,616
CUBE A CubeSmart 42.05 849,822
CVA B Covanta Holding Corporation 15.14 708,181
CVGI C Commercial Vehicle Group, Inc. 12.21 305,115
DBX C Dropbox, Inc. 25.38 6,360,646
DEI C Douglas Emmett, Inc. 32.69 1,234,401
DGII C Digi International Inc. 18.17 259,528
DIN B Dine Brands Global 97.17 322,480
DISH B DISH Network Corporation 45.82 3,578,499
DLR C Digital Realty Trust, Inc. 148.88 1,358,444
DNB F Dun & Bradstreet Holdings, Inc. 22.14 1,737,982
DNLI D Denali Therapeutics Inc. 53.90 439,757
DOC C Physicians Realty Trust 18.09 1,901,018
DRNA D Dicerna Pharmaceuticals, Inc. 26.22 683,027
ED B Consolidated Edison, Inc. 78.97 1,871,390
EDIT F Editas Medicine, Inc. 33.22 1,594,735
EFC A Ellington Financial LLC 18.99 557,474
ELAN A Elanco Animal Health Incorporated 34.80 3,289,089
EMR A Emerson Electric Company 95.84 2,648,886
ENB B Enbridge Inc 38.95 3,620,010
ENV F Envestnet, Inc 67.78 429,591
EOG B EOG Resources, Inc. 82.60 4,167,730
EPAM B EPAM Systems, Inc. 451.56 283,786
EPC B Edgewell Personal Care Company 43.50 773,622
EQH B AXA Equitable Holdings, Inc. 34.02 2,849,453
EQT A EQT Corporation 21.39 4,594,508
EVH C Evolent Health, Inc 19.98 485,650
FIS B Fidelity National Information Services, Inc. 150.00 2,417,966
FISV D Fiserv, Inc. 114.41 4,082,524
FLEX D Flextronics International Ltd. 17.53 4,441,305
FLS A Flowserve Corporation 43.21 868,227
FLT D FleetCor Technologies, Inc. 272.93 469,339
FMC B FMC Corporation 118.19 688,250
FNV B Franco-Nevada Corporation 149.57 613,589
FOCS B Focus Financial Partners Inc. 47.13 448,187
FPI C Farmland Partners Inc. 13.57 311,897
FSLR F First Solar, Inc. 72.58 2,440,450
FSLY F Fastly, Inc. 42.60 4,454,696
FTS A Fortis Inc. 45.42 361,388
FWONK D Liberty Media Corporation - Series C 44.06 821,973
GIL B Gildan Activewear, Inc. 35.96 393,069
GKOS D Glaukos Corporation 74.76 346,007
GM D General Motors Company 56.00 17,892,393
GMED A Globus Medical, Inc. 72.24 405,165
GMRE B Global Medical REIT Inc. 14.31 577,046
GOLD C Barrick Gold Corporation 24.02 16,548,875
HAIN C The Hain Celestial Group, Inc. 40.67 642,404
HCC F Warrior Met Coal, Inc. 16.27 669,076
HEAR C Turtle Beach Corporation 28.00 530,290
HES A Hess Corporation 84.33 2,102,840
HESM B Hess Midstream Partners LP 23.24 252,358
HFC C HollyFrontier Corporation 35.82 1,991,620
HIMX D Himax Technologies, Inc. 11.07 3,871,926
HLF B Herbalife Ltd. 49.86 888,565
HLT C Hilton Worldwide Holdings Inc. 123.61 2,045,625
HST C Host Hotels & Resorts, Inc. 17.33 7,125,740
HZNP C Horizon Pharma, Inc. 92.14 1,528,272
IART C Integra LifeSciences Holdings Corporation 70.79 350,463
IDCC B InterDigital, Inc. 71.04 326,439
IHRT B iHeartMedia, Inc. 22.64 1,221,115
INMD D InMode Ltd. 74.08 691,238
IONS F Ionis Pharmaceuticals, Inc. 38.24 1,654,069
IPHI B Inphi Corporation 172.27 1,015,204
IRM A Iron Mountain Incorporated 42.50 1,940,876
IRTC F iRhythm Technologies, Inc. 81.31 733,118
IT B Gartner, Inc. 231.10 618,094
JBLU C JetBlue Airways Corporation 19.68 8,051,010
JRVR F James River Group Holdings, Ltd. 34.31 434,648
KAR B KAR Auction Services, Inc 18.50 2,245,669
KLIC D Kulicke and Soffa Industries, Inc. 46.82 852,348
KTB B Kontoor Brands, Inc. 65.43 450,359
KTOS D Kratos Defense & Security Solutions, Inc. 25.00 1,258,300
LAMR B Lamar Advertising Company 102.28 469,735
LAUR B Laureate Education, Inc. 14.56 863,065
LBRDK A Liberty Broadband Corporation - Class C 166.62 865,016
LESL C Leslie's, Inc. 27.43 1,446,164
LL F Lumber Liquidators Holdings, Inc 23.58 468,111
LNT A Alliant Energy Corporation 56.76 1,429,859
LOPE D Grand Canyon Education, Inc. 95.63 280,538
LQDT B Liquidity Services, Inc. 27.19 412,414
LSI A Life Storage, Inc. 95.89 442,555
LXP B Lexington Realty Trust 12.12 1,707,988
LYV C Live Nation Entertainment, Inc. 85.80 1,911,075
MCHP C Microchip Technology Incorporated 145.47 1,832,235
MD B Mednax, Inc. 31.53 775,398
MDRX B Allscripts Healthcare Solutions, Inc. 16.94 1,642,127
MET B MetLife, Inc. 65.90 4,390,350
MGA B Magna International, Inc. 96.60 1,439,640
MIDD B The Middleby Corporation 174.32 707,681
MMS C Maximus, Inc. 89.87 283,246
MNST C Monster Beverage Corporation 92.14 1,905,608
MRTX D Mirati Therapeutics, Inc. 156.62 466,579
MSI A Motorola Solutions, Inc. 201.88 593,676
MTG C MGIC Investment Corporation 14.26 2,668,115
MTW B Manitowoc Company, Inc. (The) 25.54 406,800
NBIX C Neurocrine Biosciences, Inc. 94.60 1,110,008
NEO F NeoGenomics, Inc. 38.11 884,198
NKTR F Nektar Therapeutics 18.98 850,414
NMRK A Newmark Group, Inc. 13.18 781,305
NRG F NRG Energy, Inc. 34.33 3,259,337
NSIT B Insight Enterprises, Inc. 100.70 279,355
NUVA B NuVasive, Inc. 69.53 549,756
NVRO D Nevro Corp. 144.84 443,228
NWSA B News Corporation - Class A 26.70 3,682,666
NYT F New York Times Company (The) 42.94 1,618,730
OCDX B Ortho Clinical Diagnostics plc 20.64 1,245,653
OCUL F Ocular Therapeutix, Inc. 14.81 1,076,470
ODP B Office Depot, Inc. 44.00 431,964
OEC C Orion Engineered Carbons S.A 20.69 377,670
OGE A OGE Energy Corporation 34.40 1,333,064
OLED F Universal Display Corporation 192.74 384,937
OM F Outset Medical, Inc. 42.13 545,520
OMCL D Omnicell, Inc. 131.91 377,568
OPCH D Option Care Health, Inc. 17.29 1,067,891
PARR D Par Petroleum Corporation. 13.24 513,163
PASG F Passage Bio, Inc. 15.50 310,860
PBYI C Puma Biotechnology Inc 10.25 286,413
PCRX D Pacira Pharmaceuticals, Inc. 62.21 409,819
PDCE B PDC Energy, Inc. 41.39 971,541
PEB D Pebblebrook Hotel Trust 22.84 1,248,634
PENN F Penn National Gaming, Inc. 80.80 5,225,380
PETQ C PetIQ, Inc. 39.41 338,095
PFGC D Performance Food Group Company 52.81 840,017
PFSI C PennyMac Financial Services, Inc. 60.25 805,136
PING C Ping Identity Holding Corp. 23.67 985,683
PMT D PennyMac Mortgage Investment Trust 19.12 744,480
PODD F Insulet Corporation 232.42 560,729
POST A Post Holdings, Inc. 117.40 331,819
POWI D Power Integrations, Inc. 77.03 341,839
PRAA C Portfolio Recovery Associates, Inc. 38.30 261,942
PRDO C Perdoceo Education Corporation 12.20 468,743
PRFT A Perficient, Inc. 70.60 262,801
PSN B Parsons Corporation 42.27 425,700
PSNL F Personalis, Inc. 19.74 870,948
PTGX B Protagonist Therapeutics, Inc. 30.47 277,829
PTVE C Pactiv Evergreen Inc. 14.71 367,653
PWR B Quanta Services, Inc. 97.42 1,050,945
QLYS D Qualys, Inc. 99.83 430,051
QRVO D Qorvo, Inc. 171.01 1,149,040
QTRX F Quanterix Corporation 45.69 363,639
QUOT D Quotient Technology Inc. 12.11 903,911
RDFN F Redfin Corporation 51.14 1,822,396
RDWR B Radware Ltd. 28.07 289,982
REG B Regency Centers Corporation 63.77 1,102,035
REYN B Reynolds Consumer Products Inc. 31.79 529,314
RGNX C REGENXBIO Inc. 36.14 332,559
RHP C Ryman Hospitality Properties, Inc. (REIT) 76.22 436,860
RKT F Rocket Companies, Inc. 17.34 12,740,127
RLGY B Realogy Holdings Corp. 17.86 1,127,226
ROKU D Roku, Inc. 315.95 4,279,020
RPD C Rapid7, Inc. 81.02 674,134
RTX A Raytheon Technologies Corporation 85.88 6,037,036
RWT B Redwood Trust, Inc. 10.79 929,562
RYN A Rayonier Inc. REIT 38.06 575,508
SAGE F Sage Therapeutics, Inc. 70.86 463,872
SATS B EchoStar Corporation 26.66 657,094
SHLX B Shell Midstream Partners, L.P. 15.32 1,340,853
SIMO C Silicon Motion Technology Corporation 65.45 524,082
SITE C SiteOne Landscape Supply, Inc. 176.08 261,153
SKYW C SkyWest, Inc. 49.60 314,615
SLF A Sun Life Financial Inc. 54.24 424,908
SMCI C Super Micro Computer, Inc. 36.26 277,976
SPH D Suburban Propane Partners, L.P. 14.87 390,864
SPR D Spirit Aerosystems Holdings, Inc. 43.17 2,046,893
SPWR F SunPower Corporation 22.24 4,122,860
SRC B Spirit Realty Capital, Inc. 45.92 644,866
SRCL A Stericycle, Inc. 79.08 366,286
SRE A Sempra Energy 138.11 1,150,874
SRG F Seritage Growth Properties 15.98 332,785
SRRK F Scholar Rock Holding Corporation 27.92 342,787
STMP F Stamps.com Inc. 174.97 250,721
SWX C Southwest Gas Corporation 69.86 434,005
SYNA D Synaptics Incorporated 123.72 369,156
TALO B Talos Energy, Inc. 12.73 642,164
TDC C Teradata Corporation 41.30 1,763,255
THS C Treehouse Foods, Inc. 50.89 491,936
TMST B Timken Steel Corporation 14.34 993,116
TMX C Terminix Global Holdings, Inc. 48.62 590,674
TNDM F Tandem Diabetes Care, Inc. 78.90 701,623
TPC D Tutor Perini Corporation 15.90 258,884
TPIC F TPI Composites, Inc. 44.48 924,245
TRGP A Targa Resources, Inc. 38.52 1,655,052
TRIP D TripAdvisor, Inc. 42.17 3,840,142
TU A Telus Corporation 21.77 1,202,881
TUP C Tupperware Brands Corporation 28.23 981,926
TW A Tradeweb Markets Inc. 83.88 622,442
TWI C Titan International, Inc. 10.27 507,776
TWLO F Twilio Inc. 299.40 2,055,602
UBER D Uber Technologies, Inc. 47.42 18,904,898
UMH B UMH Properties, Inc. 21.18 263,166
UTHR B United Therapeutics Corporation 197.87 355,017
VAPO F Vapotherm, Inc. 18.01 263,642
VCEL D Vericel Corporation 50.77 900,467
VECO C Veeco Instruments Inc. 22.07 434,491
VG B Vonage Holdings Corp. 13.08 2,668,312
VIAC F ViacomCBS Inc. - Class B 38.91 48,404,289
VIACA D ViacomCBS Inc. - Class A 44.03 322,427
VIRT C Virtu Financial, Inc. 28.99 1,405,306
VSTO A Vista Outdoor Inc. 37.45 974,249
WAT B Waters Corporation 312.24 330,664
WEX D WEX Inc. 191.63 323,253
WHD B Cactus, Inc. 35.31 513,874
WLL C Whiting Petroleum Corporation 38.35 622,680
WMG C Warner Music Group 34.71 914,143
WRI B Weingarten Realty Investors 32.60 1,304,440
WW B Weight Watchers International Inc. 37.31 1,504,137
XEL B Xcel Energy Inc. 71.72 3,182,158
YELP D Yelp Inc. 38.50 624,533
ZG F Zillow Group, Inc. 113.32 642,428
ZYME F Zymeworks Inc. 28.59 431,763

Get a Trading Sidekick!

Let us help you stay on top of your investments. We will alert you to important technical developments on your portfolio & watchlist.