Companies Reporting Earnings on


Symbol Grade Name Close Avg Volume
ACM B Aecom Technology Corporation 66.86 796,751
ADPT F Adaptive Biotechnologies Corporation 34.54 1,163,500
AEE B Ameren Corporation 83.70 1,307,362
AFG A American Financial Group, Inc. 130.17 351,036
AFRM F Affirm Holdings, Inc. 54.00 2,442,970
AMBC F Ambac Financial Group, Inc. 14.45 279,603
AMN B AMN Healthcare Services Inc 89.07 269,789
AN A AutoNation, Inc. 105.29 767,839
APD B Air Products and Chemicals, Inc. 301.05 839,806
ARCT F Arcturus Therapeutics Ltd. 28.86 613,682
AVNW C Aviat Networks, Inc. 31.33 429,736
BALY D Bally's Corporation 53.57 748,274
BHF A Brighthouse Financial, Inc. 49.42 695,876
BHVN F Biohaven Pharmaceutical Holding Company Ltd. 69.85 583,704
BLUE D bluebird bio, Inc. 30.32 1,481,561
BNTX B BioNTech SE 192.77 2,912,094
BRKS C Brooks Automation, Inc. 92.11 786,456
BRMK D Broadmark Realty Capital Inc. 10.15 797,625
BRP F BRP Group, Inc. 24.58 275,316
BTAI F BioXcel Therapeutics, Inc. 31.47 456,517
BTCM D BIT Mining Limited ADS 14.23 444,866
CAH D Cardinal Health, Inc. 56.34 1,853,575
CARA F Cara Therapeutics, Inc. 13.20 1,400,692
CBT A Cabot Corporation 62.28 268,771
CCXI F ChemoCentryx, Inc. 10.44 2,547,437
CDLX F Cardlytics, Inc. 92.34 491,781
CLDT D Chatham Lodging Trust (REIT) 12.97 289,629
CLF C Cliffs Natural Resources Inc 19.51 20,945,143
CLPT D ClearPoint Neuro Inc. 18.08 427,477
CLR B Continental Resources, Inc. 31.48 2,146,281
CNNE F Cannae Holdings, Inc. 36.27 575,805
CNR B Cornerstone Building Brands, Inc. 15.16 943,666
CNST F Constellation Pharmaceuticals, Inc. 20.31 431,906
CRIS B Curis, Inc. 13.57 3,125,504
CRNC D Cerence Inc. 84.70 480,102
CSOD C Cornerstone OnDemand, Inc. 42.87 397,808
CSTL F Castle Biosciences, Inc. 55.17 314,360
CVLT B CommVault Systems, Inc. 68.87 317,815
CZR C Caesars Entertainment Corporation 98.61 4,014,639
DBD D Diebold, Incorporated 13.28 687,074
DDD D 3D Systems Corporation 22.33 5,075,813
DDOG D Datadog, Inc. 82.51 3,584,349
DIOD D Diodes Incorporated 71.53 339,160
DISCA D Discovery Communications, Inc. - Series A 35.65 16,206,829
DRH C Diamondrock Hospitality Company 10.06 1,933,602
DUK B Duke Energy Corporation (Holding Company) 103.06 2,840,200
ECPG B Encore Capital Group Inc 43.23 301,517
EGHT F 8x8 Inc 24.49 1,088,738
ELY A Callaway Golf Company 33.82 1,726,708
ENR C Energizer Holdings, Inc. 47.99 467,455
ENSG D The Ensign Group, Inc. 83.96 305,873
EPRT C Essential Properties Realty Trust, Inc. 24.82 888,552
ET A Energy Transfer LP 10.11 18,413,044
ETH C Ethan Allen Interiors Inc. 29.75 360,551
EVBG F Everbridge, Inc. 115.04 545,476
EXTR C Extreme Networks, Inc. 10.14 1,334,599
FGEN F FibroGen, Inc 21.56 1,693,259
FSK A FS KKR Capital Corp. 21.45 522,600
FSKR A FS KKR Capital Corp. II 20.52 478,040
G C Genpact Limited 44.65 1,700,826
GDOT F Green Dot Corporation 40.71 414,729
GO D Grocery Outlet Holding Corp. 34.75 952,757
GOGO B Gogo Inc. 12.00 2,047,073
GSBD D Goldman Sachs BDC, Inc. 19.30 399,433
GSL B Global Ship Lease Inc 15.36 454,760
GTES B Gates Industrial Corporation plc 17.85 626,219
HALO C Halozyme Therapeutics, Inc. 43.03 1,045,675
HLI A Houlihan Lokey, Inc. 74.00 353,149
ICPT F Intercept Pharmaceuticals, Inc. 18.15 1,088,037
IEA F Infrastructure and Energy Alternatives, Inc. 11.56 755,063
IFF B Internationa Flavors & Fragrances, Inc. 141.21 1,423,921
IIVI D II-VI Incorporated 63.67 2,529,147
INN C Summit Hotel Properties, Inc. 10.02 670,014
INNV F InnovAge Holding Corp. 21.89 250,209
IR D Ingersoll-Rand plc (Ireland) 48.54 2,284,177
ITCI B Intra-Cellular Therapies Inc. 37.60 463,358
J B Jacobs Engineering Group Inc. 138.45 548,569
KLR D Kaleyra, Inc. 12.21 311,271
KOD F Kodiak Sciences Inc 84.05 342,872
MAC C Macerich Company (The) 14.01 6,171,989
MAR C Marriot International 143.29 2,168,314
MESA D Mesa Air Group, Inc. 10.58 1,072,528
MGNI F Magnite, Inc. 24.99 3,023,587
MGY B Magnolia Oil & Gas Corporation 12.41 1,556,408
MIME B Mimecast Limited 47.59 729,777
MODN F Model N, Inc. 36.07 289,666
MRSN F Mersana Therapeutics, Inc. 14.62 614,729
NHI D National Health Investors, Inc. 67.62 272,429
NLS D Nautilus, Inc. 17.42 1,364,536
NOG B Northern Oil and Gas, Inc. 15.92 949,715
NSA B National Storage Affiliates Trust 43.40 476,993
NSTG F NanoString Technologies, Inc. 49.30 585,650
NVST B Envista Holdings Corporation 45.23 1,940,553
OMER C Omeros Corporation 18.20 500,734
ON C ON Semiconductor Corporation 37.45 6,506,691
ORA F Ormat Technologies, Inc. 66.21 627,708
ORGO C Organogenesis Holdings Inc. 18.76 679,698
OSH D Oak Street Health, Inc. 55.90 1,575,742
OXY D Occidental Petroleum Corporation 25.10 18,068,816
PGNY C Progyny, Inc. 50.46 874,163
PK C Park Hotels & Resorts Inc. 22.06 2,454,488
PRTS C U.S. Auto Parts Network, Inc. 15.22 1,622,766
RBA C Ritchie Bros. Auctioneers Incorporated 63.23 540,278
RBLX C Roblox Corporation 70.95 9,088,861
RC B Ready Capital Corproation 14.30 649,302
REAL F The RealReal, Inc. 14.46 2,220,528
RLJ D RLJ Lodging Trust 15.29 1,022,560
RPAY D Repay Holdings Corporation 23.12 677,044
RPT B Ramco-Gershenson Properties Trust 12.47 380,180
RVNC B Revance Therapeutics, Inc. 29.06 392,691
RXN B Rexnord Corporation 50.65 552,983
RXT F Rackspace Technology, Inc. 19.46 2,149,187
SAIL F SailPoint Technologies Holdings, Inc. 45.22 1,106,948
SCPL D SciPlay Corporation 16.17 522,768
SEER F Seer, Inc. 29.61 561,048
SGMO D Sangamo BioSciences, Inc. 10.85 1,205,958
SGMS B Scientific Games Corp 58.44 755,307
SGRY A Surgery Partners, Inc. 52.13 371,307
SKT C Tanger Factory Outlet Centers, Inc. 16.57 2,279,195
SPCE F Virgin Galactic Holdings, Inc. 16.18 12,172,110
SPG B Simon Property Group, Inc. 122.18 2,890,952
SUM A Summit Materials, Inc. 34.29 1,177,472
SUN B Sunoco LP 35.13 421,270
SVC D Service Properties Trust 11.32 949,387
SWAV B ShockWave Medical, Inc. 150.39 457,452
TGNA D TEGNA Inc 19.54 1,442,994
TGTX F TG Therapeutics, Inc. 34.26 1,385,336
TPTX D Turning Point Therapeutics, Inc. 69.35 474,173
TREX B Trex Company, Inc. 104.69 700,805
TSN A Tyson Foods, Inc. 80.34 1,939,348
TTD F The Trade Desk, Inc. 517.49 1,035,780
TXG F 10x Genomics, Inc. 143.79 784,980
UAA C Under Armour, Inc. Class A 22.78 4,699,500
UNIT D Uniti Group Inc. 10.72 1,558,365
UNVR A Univar Inc. 26.15 936,052
USFD B US Foods Holding Corp. 39.39 1,823,214
VCYT F Veracyte, Inc. 36.56 907,768
VOYA B ING U.S. Inc. 68.68 962,042
VRRM B Verra Mobility Corporation 14.89 767,594
VSH D Vishay Intertechnology, Inc. 23.63 1,001,926
VTRS B Viatris Inc. 16.00 10,213,163
VUZI D Vuzix Corporation 15.70 7,874,714
WES A Western Gas Partners, LP Limited Partner Interests 21.85 1,439,266
WYNN C Wynn Resorts, Limited 126.67 2,204,737
XHR C Xenia Hotels & Resorts, Inc. 19.43 538,005
XLRN C Acceleron Pharma Inc. 126.09 353,949
YALA F Yalla Group Limited 20.13 2,035,943
ZBH C Zimmer Biomet Holdings, Inc. 167.27 945,528
ZLAB C Zai Lab Limited 152.93 539,307

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