Companies Reporting Earnings on


Symbol Grade Name Close Avg Volume
ABR A Arbor Realty Trust 17.66 1,310,317
ACMR F ACM Research, Inc. 64.84 278,809
ACRE A Ares Commercial Real Estate Corporation 14.84 606,400
ADCT F ADC Therapeutics SA 21.23 410,533
ADNT B Adient plc 48.61 865,057
AG D First Majestic Silver Corp. 16.00 3,987,922
AHCO F AdaptHealth Corp. 25.28 1,532,219
AL C Air Lease Corporation 46.38 778,534
ALDX C Aldeyra Therapeutics, Inc. 12.14 2,709,213
ALTR B Altair Engineering Inc. 66.02 278,688
AMRS D Amyris, Inc. 11.67 4,342,266
AQN D Algonquin Power & Utilities Corp. 15.36 1,042,487
ARW A Arrow Electronics, Inc. 119.02 398,923
ATEC D Alphatec Holdings, Inc. 14.81 669,839
ATH A Athene Holding Ltd. 62.23 1,941,642
ATSG F Air Transport Services Group, Inc 25.27 425,233
AVYA D Avaya Holdings Corp. 26.40 895,406
AXL C American Axle & Manufacturing Holdings, Inc. 10.63 1,613,470
AXNX D Axonics Modulation Technologies, Inc. 54.03 537,785
AXSM D Axsome Therapeutics, Inc. 58.42 371,280
AZUL B Azul S.A. 22.68 1,150,067
BAP C Credicorp Ltd. 145.78 618,928
BBDC A Barings BDC, Inc. 10.49 278,162
BECN B Beacon Roofing Supply, Inc. 58.46 401,551
BILL D Bill.com Holdings, Inc. 140.43 1,161,921
BL F BlackLine, Inc. 104.71 659,812
BLDR C Builders FirstSource, Inc. 47.93 2,053,334
BPMP A BP Midstream Partners LP 13.94 362,795
BPYU B Brookfield Property REIT Inc. 18.30 379,994
BR B Broadridge Financial Solutions, Inc. 163.18 446,505
BYND F Beyond Meat, Inc. 104.97 2,859,436
CDXS F Codexis, Inc. 18.29 554,892
CERT D Certara, Inc. 25.76 758,948
CGNX F Cognex Corporation 74.04 763,112
CMBM D Cambium Networks Corporation 48.83 312,520
CNQ A Canadian Natural Resources Limited 34.38 3,229,188
COLL C Collegium Pharmaceutical, Inc. 22.81 251,855
CTLP D Cantaloupe, Inc. 10.41 326,271
CWEN F Clearway Energy, Inc. Class C 26.37 841,686
CWEN.A D Clearway Energy, Inc. Class A 27.13 373,282
CWK A Cushman & Wakefield plc 18.68 780,128
DOCN D DigitalOcean Holdings, Inc. 37.23 509,537
EB D Eventbrite, Inc. 20.61 1,645,072
ERII C Energy Recovery, Inc. 17.72 533,870
ESNT C Essent Group Ltd. 47.53 873,577
EVOP C EVO Payments, Inc. 28.16 266,743
EVRI B Everi Holdings Inc. 17.87 976,355
EVTC A Evertec, Inc. 43.61 361,139
EXC B Exelon Corporation 45.09 5,096,699
EXPI F eXp World Holdings, Inc. 26.60 1,947,449
FARM C Farmer Brothers Company 10.39 313,822
FLGT D Fulgent Genetics, Inc. 70.34 1,478,931
FNF A Fidelity National Financial, Inc. 47.02 1,923,426
FNKO B Funko, Inc. 24.67 3,137,609
FOUR D Shift4 Payments, Inc. 82.79 1,063,737
FROG F JFrog Ltd. 36.48 1,081,303
FVRR F Fiverr International Ltd. 169.70 748,732
GFL D GFL Environmental Inc. 31.81 927,068
GH F Guardant Health, Inc. 112.84 889,015
GPMT A Granite Point Mortgage Trust Inc. 13.59 389,181
GTN B Gray Communications Systems, Inc. 22.09 615,525
HCAT C Health Catalyst, Inc. 48.60 453,214
HII B Huntington Ingalls Industries, Inc. 216.21 300,033
HSC A Harsco Corporation 22.78 350,607
HWM A Howmet Aerospace Inc. 33.25 2,812,803
IEP C Icahn Enterprises L.P. 58.16 302,967
INSM F Insmed, Inc. 26.23 1,302,937
K B Kellogg Company 66.54 2,823,760
KIM B Kimco Realty Corporation 21.23 4,466,827
KL C Kirkland Lake Gold Ltd. 41.47 1,736,027
KURA F Kura Oncology, Inc. 25.11 582,372
LASR F nLIGHT, Inc. 26.36 258,816
LEA B Lear Corporation 186.20 347,266
LIN A Linde PLC 301.17 1,433,839
MAIN C Main Street Capital Corporation 40.54 338,294
MDU A MDU Resources Group, Inc. 34.45 983,604
MNRL A Brigham Minerals, Inc. 18.60 316,467
MRNA C Moderna, Inc. 161.38 9,657,902
MTZ A MasTec, Inc. 118.41 753,302
NBLX B Noble Midstream Partners LP 15.21 870,649
NFG A National Fuel Gas Company 52.32 313,592
NJR A NewJersey Resources Corporation 43.17 425,982
NLSN A Nielsen Holdings N.V. 28.01 3,016,278
NOMD B Nomad Foods 28.85 622,169
NTCT C NetScout Systems, Inc. 27.57 349,601
NTLA D Intellia Therapeutics, Inc. 67.04 1,283,543
NTRA D Natera, Inc. 93.19 815,246
OTEX D Open Text Corporation 46.18 510,156
OTRK D Ontrak, Inc. 32.18 638,875
OUT C OUTFRONT Media Inc. 23.12 1,486,211
PBA A Pembina Pipeline Corp. 31.86 1,085,787
PBF C PBF Energy Inc. 15.39 3,126,178
PFE B Pfizer, Inc. 40.02 26,463,452
PNW B Pinnacle West Capital Corporation 86.06 727,059
PPL B PPL Corporation 29.26 5,572,812
PRLB F Proto Labs, Inc. 95.06 454,014
PRMW B Primo Water Corporation 17.33 971,751
RETA F Reata Pharmaceuticals, Inc. - Class A 78.35 320,079
REZI C Resideo Technologies, Inc. 29.14 779,813
RGA C Reinsurance Group of America, Incorporated 128.05 381,008
RUTH C Ruth's Hospitality Group, Inc. 25.07 380,726
RVLV C Revolve Group, Inc. 47.22 1,217,735
SABR C Sabre Corporation 13.30 7,201,986
SEAS B SeaWorld Entertainment, Inc. 52.97 929,744
SEM B Select Medical Holdings Corporation 37.39 563,220
SHO C Sunstone Hotel Investors, Inc. 12.69 2,063,714
SR B Spire Inc. 75.47 255,994
SSP C E.W. Scripps Company (The) 20.99 479,229
SSSS B Sutter Rock Capital Corp. 15.52 623,175
SVMK D SVMK Inc. - SurveyMonkey 18.15 736,455
SWCH B Switch, Inc. 18.58 1,946,023
TEN B Tenneco Inc. 13.80 1,500,357
TPR B Tapestry, Inc. 46.82 3,382,640
TRHC D Tabula Rasa HealthCare, Inc. 40.82 282,359
TVTX F Travere Therapeutics, Inc. 18.27 529,592
TWST F Twist Bioscience Corporation 92.68 925,673
VGR C Vector Group Ltd. 13.84 543,933
VIACP C ViacomCBS Inc. - 5.75% Series A Mandatory Convertible Preferred Stock 69.28 470,743
VIR F Vir Biotechnology, Inc. 42.21 969,439
VNT B Vontier Corporation 33.99 1,775,662
VTR C Ventas, Inc. 54.64 2,001,651
WBT C Welbilt, Inc. 21.11 3,536,290
WCC A WESCO International, Inc. 110.32 365,171
WFG C West Fraser Timber Co. Ltd 78.71 312,486
WPM B Wheaton Precious Metals Corp 45.20 2,252,043
XRAY A DENTSPLY International Inc. 67.83 1,663,905
YMAB C Y-mAbs Therapeutics, Inc. 34.19 328,254
ZGNX D Zogenix, Inc. 19.12 584,577

Free Daily (Stock) Chart Reading

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