Companies Reporting Earnings on


Symbol Grade Name Close Avg Volume
AAT C American Assets Trust, Inc. 36.82 327,544
ABCB C Ameris Bancorp 48.31 411,734
ACC B American Campus Communities Inc 50.15 847,275
ACI A Albertsons Companies, Inc. 22.07 1,036,515
ADC A Agree Realty Corporation 74.76 655,721
AGNC D American Capital Agency Corp. 15.90 7,886,656
AMD A Advanced Micro Devices, Inc. 108.63 45,812,264
AMG C Affiliated Managers Group, Inc. 159.87 282,483
AMKR B Amkor Technology, Inc. 25.26 1,235,727
ARCH B Arch Coal, Inc. 65.53 366,825
ARE A Alexandria Real Estate Equities, Inc. 203.01 932,527
ASH D Ashland Inc. 83.75 384,879
ATEN A A10 Networks, Inc. 13.19 637,708
AVY C Avery Dennison Corporation 210.26 487,361
AXS C Axis Capital Holdings Limited 50.69 403,789
BDN C Brandywine Realty Trust 13.71 2,143,831
BE F Bloom Energy Corporation 21.34 2,355,693
BOH D Bank of Hawaii Corporation 82.93 257,318
BPFH D Boston Private Financial Holdings, Inc. 14.75 837,481
BRO A Brown & Brown, Inc. 54.24 958,649
BXP C Boston Properties, Inc. 116.34 1,019,434
BYD C Boyd Gaming Corporation 57.70 1,378,163
CALX C Calix, Inc 45.46 485,146
CATY C Cathay General Bancorp 37.55 307,296
CB A Chubb Corporation (The) 170.35 1,875,295
CCS B Century Communities, Inc. 70.74 572,783
CDNS A Cadence Design Systems, Inc. 147.29 1,213,947
CE C Celanese Corporation 153.99 761,148
CHKP B Check Point Software Technologies Ltd. 125.91 948,213
CHRW D C.H. Robinson Worldwide, Inc. 89.65 1,008,411
CINF B Cincinnati Financial Corporation 119.11 506,730
CMRE C Costamare Inc. 10.87 646,706
CNC C Centene Corporation 70.31 3,594,790
COWN B Cowen Group, Inc. 39.76 556,885
CR A Crane Company 96.44 278,390
CRSP D CRISPR Therapeutics AG 122.34 1,263,399
CVLT C CommVault Systems, Inc. 76.08 369,976
CYH D Community Health Systems, Inc. 13.20 1,671,272
DTE D DTE Energy Company 117.60 1,134,627
DXCM A DexCom, Inc. 511.35 739,847
ECL B Ecolab Inc. 218.07 1,054,498
EHC B Encompass Health Corporation 84.16 550,863
EQR B Equity Residential 83.92 2,061,562
EQT F EQT Corporation 17.52 4,210,414
FBC B Flagstar Bancorp, Inc. 45.86 470,094
FBP C First BanCorp. 11.99 1,918,934
FFIV A F5 Networks, Inc. 206.62 486,448
FTV B Fortive Corporation 73.50 3,026,099
GLW C Corning Incorporated 41.10 4,202,906
HA F Hawaiian Holdings, Inc. 19.50 1,268,562
HAS A Hasbro, Inc. 99.65 733,715
HOG F Harley-Davidson, Inc. 39.21 1,785,324
HP D Helmerich & Payne, Inc. 28.02 1,343,996
HUN D Huntsman Corporation 25.93 2,315,533
HXL D Hexcel Corporation 55.19 606,771
IMAX F Imax Corporation 16.01 712,271
IRDM B Iridium Communications Inc 42.38 664,077
IVZ D Invesco Plc 24.42 4,110,970
JBLU F JetBlue Airways Corporation 14.80 7,476,444
JNPR A Juniper Networks, Inc. 28.01 3,313,565
LH A Laboratory Corporation of America Holdings 297.61 674,608
LII C Lennox International, Inc. 328.44 262,992
LMT C Lockheed Martin Corporation 368.30 987,504
LW F Lamb Weston Holdings, Inc. 67.35 990,837
MASI A Masimo Corporation 273.80 333,414
MCD B McDonald's Corporation 240.10 2,352,525
MDC B M.D.C. Holdings, Inc. 53.10 517,332
MDLZ B Mondelez International, Inc. 63.43 5,793,055
MLM B Martin Marietta Materials, Inc. 362.83 373,880
MPWR A Monolithic Power Systems, Inc. 454.30 343,119
MSCI A MSCI Inc 610.92 315,031
MSTR B MicroStrategy Incorporated 651.35 870,847
MTDR D Matador Resources Company 29.78 1,367,820
MXIM C Maxim Integrated Products, Inc. 99.96 1,905,092
NTP D Nam Tai Property Inc. 21.03 427,570
NWBI D Northwest Bancshares, Inc. 13.16 554,818
OMC C Omnicom Group Inc. 73.02 1,646,249
OMF A OneMain Holdings, Inc. 60.70 1,054,715
OTIS A Otis Worldwide Corporation 89.93 1,891,582
OVV D Ovintiv Inc. (DE) 25.27 2,546,412
PCH F Potlatch Corporation 51.49 470,232
PEGA D Pegasystems Inc. 127.01 261,346
PETS D PetMed Express, Inc. 29.67 857,333
PFE A Pfizer, Inc. 43.96 22,387,425
PII C Polaris Industries Inc. 130.59 801,521
PKG C Packaging Corporation of America 139.27 603,955
PKI A PerkinElmer, Inc. 183.84 747,359
POLY F Plantronics, Inc. 30.95 385,717
PPBI D Pacific Premier Bancorp Inc 37.68 351,784
PRLB F Proto Labs, Inc. 79.38 357,522
QGEN B Qiagen N.V. 52.79 766,120
RNR B RenaissanceRe Holdings Ltd. 152.09 445,694
ROK A Rockwell Automation, Inc. 307.31 761,616
ROP B Roper Industries, Inc. 488.35 393,053
RPM D RPM International Inc. 85.72 483,148
RTX C Raytheon Technologies Corporation 86.61 5,047,388
RXN A Rexnord Corporation 56.04 738,145
SCCO D Southern Copper Corporation 64.62 1,434,251
SCR D Score Media and Gaming Inc. 17.55 640,900
SI C Silvergate Capital Corporation 101.76 734,552
SITC A SITE Centers Corp. 15.76 1,796,829
SPGI A S&P Global Inc. 434.25 1,285,257
SSNC A SS&C Technologies Holdings, Inc. 77.06 857,449
ST B Sensata Technologies Holding N.V. 58.27 776,947
STAG A Stag Industrial, Inc. 40.92 953,472
STX C Seagate Technology. 88.50 2,216,002
SUI A Sun Communities, Inc. 195.74 466,477
TENB B Tenable Holdings, Inc. 45.00 1,048,480
TFII A TFI International Inc. 111.45 253,932
TRQ C Turquoise Hill Resources Ltd. 16.20 856,056
TRU A TransUnion 120.50 861,011
TSLA B Tesla Motors, Inc. 709.67 22,978,682
UDR A UDR, Inc. 54.99 2,022,903
UHS A Universal Health Services, Inc. 159.63 693,470
V B Visa Inc. 239.78 6,416,231
VCRA B Vocera Communications, Inc. 43.22 270,837
WAB A Westinghouse Air Brake Technologies Corporation 83.58 1,050,092
WFG D West Fraser Timber Co. Ltd 71.36 395,793
WH C Wyndham Hotels & Resorts, Inc. 71.02 567,034
WRE C Washington Real Estate Investment Trust 24.00 795,649
XRX B Xerox Corporation 24.08 2,122,297
YNDX C Yandex N.V. 67.53 1,015,317
ZYXI D Zynex, Inc. 14.70 274,427

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