Companies Reporting Earnings on


Symbol Grade Name Close Avg Volume
ADP A Automatic Data Processing, Inc. 209.45 1,391,524
AEM D Agnico Eagle Mines Limited 64.09 1,171,177
AGCO B AGCO Corporation 129.56 637,992
AGIO F Agios Pharmaceuticals, Inc. 48.19 724,316
AJG C Arthur J. Gallagher & Co. 139.18 1,093,147
ALGN A Align Technology, Inc. 700.00 568,155
AMT A American Tower Corporation (REIT) 283.62 1,433,948
AOS B A.O. Smith Corporation 69.84 988,424
APH A Amphenol Corporation 72.68 2,557,455
ARI D Apollo Commercial Real Estate Finance, Inc 15.08 854,313
ARW B Arrow Electronics, Inc. 117.79 458,947
ASPN B Aspen Aerogels, Inc. 36.85 282,398
ATUS D Altice USA, Inc. 31.23 3,602,336
BA C Boeing Company (The) 225.34 12,245,989
BAX F Baxter International Inc. 77.21 2,849,494
BC B Brunswick Corporation 103.34 631,529
BCOV F Brightcove Inc. 11.52 304,381
BG C Bunge Limited 76.69 1,345,650
BGS F B&G Foods, Inc. 28.82 1,142,292
BLDR B Builders FirstSource, Inc. 44.45 3,072,327
BMY A Bristol-Myers Squibb Company 68.02 8,772,886
BPMC C Blueprint Medicines Corporation 86.98 616,524
BRKL C Brookline Bancorp, Inc. 14.46 259,234
BZH D Beazer Homes USA, Inc. 17.81 464,173
CC C Chemours Company (The) 33.51 1,166,124
CFR C Cullen/Frost Bankers, Inc. 107.13 301,618
CG A The Carlyle Group L.P. 49.53 1,629,897
CLB D Core Laboratories N.V. 33.07 538,745
CLF B Cliffs Natural Resources Inc 23.94 28,266,979
CLVT F Clarivate Plc 22.81 6,001,439
CMCSA A Comcast Corporation - Class A 58.47 13,713,461
CNX F CONSOL Energy Inc. 11.78 2,749,792
COG D Cabot Oil & Gas Corporation 16.12 9,874,256
COHU D Cohu, Inc. 35.19 549,446
COOP A Mr. Cooper Group Inc. 37.02 558,962
COR A CoreSite Realty Corporation 138.79 448,156
CP C Canadian Pacific Railway Limited 73.50 1,949,260
CPT A Camden Property Trust 150.12 680,326
CROX A Crocs, Inc. 136.64 1,385,475
CRS D Carpenter Technology Corporation 37.99 349,271
CRUS D Cirrus Logic, Inc. 79.71 437,329
CSTM C Constellium N.V. 18.44 1,391,304
CUZ B Cousins Properties Incorporated 39.41 1,119,394
CVA A Covanta Holding Corporation 20.05 2,268,620
CXP D Columbia Property Trust, Inc. 16.35 650,417
DAN C Dana Holding Corporation 23.59 947,834
DBD F Diebold, Incorporated 11.21 536,319
DLR C Digital Realty Trust, Inc. 154.74 1,217,354
EBS C Emergent Biosolutions, Inc. 63.72 583,686
ES B Eversource Energy (D/B/A) 87.30 1,607,673
ESXB D Community Bankers Trust Corporation. 10.41 322,916
EVR D Evercore Partners Inc 130.94 396,711
EXAS F Exact Sciences Corporation 108.40 1,242,762
EXP C Eagle Materials Inc 140.86 418,595
EXPE D Expedia, Inc. 159.19 2,017,050
F D Ford Motor Company 13.91 83,443,628
FB B Facebook, Inc. 351.95 15,119,763
FHI C Federated Hermes, Inc. 32.12 737,695
FLEX B Flextronics International Ltd. 17.83 2,779,523
FORM B FormFactor, Inc. 37.89 473,082
FTS C Fortis Inc. 44.81 325,801
GILD B Gilead Sciences, Inc. 68.35 6,146,349
GLPI C Gaming and Leisure Properties, Inc. 46.49 732,381
GNRC B Generac Holdlings Inc. 400.00 807,861
GOOGL A Alphabet Inc. - Class A 2697.09 1,290,301
GPC C Genuine Parts Company 126.46 661,015
GRUB C Just Eat Takeaway.com N.V. 18.01 3,250,908
GSHD B Goosehead Insurance, Inc. 120.98 254,277
HGV C Hilton Grand Vacations Inc. 40.27 625,321
HIG B Hartford Financial Services Group, Inc. (The) 64.42 1,780,423
HOPE D Hope Bancorp, Inc. 13.09 818,590
HTGC A Hercules Technology Growth Capital, Inc. 17.44 586,000
HTH D Hilltop Holdings Inc. 31.84 486,653
HUM C Humana Inc. 429.58 801,088
INT B World Fuel Services Corporation 33.93 481,927
IRBT F iRobot Corporation 85.37 504,160
JAKK A JAKKS Pacific, Inc. 14.63 426,126
KDP C Keurig Dr Pepper Inc. 34.39 5,651,092
KEX D Kirby Corporation 56.83 363,780
KL B Kirkland Lake Gold Ltd. 42.46 1,398,703
KRNY C Kearny Financial 12.03 350,672
LADR D Ladder Capital Corp 11.05 612,580
LNTH B Lantheus Holdings, Inc. 26.86 705,597
LPLA D LPL Financial Holdings Inc. 139.07 583,474
LTC D LTC Properties, Inc. 37.82 279,437
MA B Mastercard Incorporated 375.26 3,099,916
MAS B Masco Corporation 59.34 2,129,378
MCO A Moody's Corporation 379.22 570,551
MDRX C Allscripts Healthcare Solutions, Inc. 17.27 1,246,054
MGI C Moneygram International, Inc. 10.09 2,442,759
MGNX F MacroGenics, Inc. 25.45 733,153
MITK B Mitek Systems, Inc. 21.63 455,738
MMC A Marsh & McLennan Companies, Inc. 147.99 1,898,085
MMP D Magellan Midstream Partners L.P. Limited Partnership 46.90 1,026,407
MOH A Molina Healthcare Inc 274.25 307,502
MPW D Medical Properties Trust, Inc. 20.51 4,643,721
MTH B Meritage Homes Corporation 109.17 328,428
MTLS F Materialise NV 22.42 504,013
MTZ D MasTec, Inc. 99.96 916,133
MXL A MaxLinear, Inc 48.47 445,356
NATI B National Instruments Corporation 44.08 456,136
NEM D Newmont Mining Corporation 61.98 6,056,144
NOC C Northrop Grumman Corporation 361.84 754,099
NOVA C Sunnova Energy International Inc. 36.20 2,243,888
NTCT D NetScout Systems, Inc. 28.52 336,614
NXGN D NextGen Healthcare, Inc. 16.24 384,148
ODFL A Old Dominion Freight Line, Inc. 267.62 646,178
OFC B Corporate Office Properties Trust 28.93 1,308,603
ORLY B O'Reilly Automotive, Inc. 600.48 409,332
OSTK F Overstock.com, Inc. 68.06 1,453,394
PACK B Ranpak Holdings Corp 25.34 430,801
PEB D Pebblebrook Hotel Trust 21.71 1,218,256
POWI A Power Integrations, Inc. 96.42 277,669
PQG B PQ Group Holdings Inc. 15.65 291,066
PRFT A Perficient, Inc. 95.37 299,793
QURE D uniQure N.V. 28.95 375,174
R C Ryder System, Inc. 75.73 612,117
RARE F Ultragenyx Pharmaceutical Inc. 80.84 571,630
RDWR A Radware Ltd. 32.19 276,433
RFP C Resolute Forest Products Inc. 11.73 912,800
RGEN A Repligen Corporation 247.87 379,610
RILY D B. Riley Financial, Inc. 66.44 287,272
RLGY C Realogy Holdings Corp. 17.58 1,493,978
RWT B Redwood Trust, Inc. 11.86 1,052,116
SAH A Sonic Automotive, Inc. 56.17 255,016
SAVE F Spirit Airlines, Inc. 26.81 3,445,153
SBH C Sally Beauty Holdings, Inc. 18.72 1,280,082
SGEN C Seattle Genetics, Inc. 154.24 714,183
SHAK B Shake Shack, Inc. 99.28 845,136
SHEN C Shenandoah Telecommunications Co 50.58 279,659
SHOP B Shopify Inc. 1538.67 1,382,595
SKYW F SkyWest, Inc. 40.03 333,720
SLGN C Silgan Holdings, Inc. 39.77 362,992
SM D SM Energy Company 18.72 3,015,635
SNDR D Schneider National, Inc. 21.89 584,698
SO A Southern Company (The) 64.08 3,677,521
SSB F South State Corporation 68.23 342,513
SU F Suncor Energy Inc. 19.26 6,384,961
SYK A Stryker Corporation 270.07 1,078,927
TAP D Molson Coors Brewing Company Class B 49.25 1,741,368
TBBK C The Bancorp, Inc. 23.56 371,363
TDY A Teledyne Technologies Incorporated 452.85 254,193
TEAM B Atlassian Corporation Plc 322.58 1,220,759
TEX B Terex Corporation 47.67 680,980
TFX D Teleflex Incorporated 391.29 335,205
TLRY F Tilray, Inc. 14.61 26,970,944
TMHC C Taylor Morrison Home Corporation 27.05 1,389,556
TMO A Thermo Fisher Scientific Inc 533.68 1,618,738
TNL F Travel + Leisure Co. 51.19 659,164
TPX A Tempur Sealy International, Inc. 42.60 1,737,971
TRP D TransCanada Corporation 48.31 1,371,887
TTMI D TTM Technologies, Inc. 14.00 865,170
TVTX F Travere Therapeutics, Inc. 14.26 866,814
TWOU B 2U, Inc. 44.66 1,070,049
TXT A Textron Inc. 69.69 1,221,414
VCYT C Veracyte, Inc. 43.94 710,776
VLO C Valero Energy Corporation 66.40 4,157,920
VRTX F Vertex Pharmaceuticals Incorporated 198.32 2,402,343
WEX D WEX Inc. 184.38 328,326
WM A Waste Management, Inc. 147.27 1,187,704
WWE F World Wrestling Entertainment, Inc. 49.15 844,535
X D United States Steel Corporation 25.07 21,308,765
XEL B Xcel Energy Inc. 68.56 2,315,529
XLNX A Xilinx, Inc. 148.98 1,832,206
XPO F XPO Logistics, Inc. 83.95 1,415,896
ZEN D Zendesk, Inc. 129.35 1,052,950

Get this analysis on your stocks daily!

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