Companies Reporting Earnings on


Symbol Grade Name Close Avg Volume
AFG D American Financial Group, Inc. 127.34 324,973
AGCO B AGCO Corporation 116.61 680,258
AIZ D Assurant, Inc. 172.88 323,954
AMD C Advanced Micro Devices, Inc. 157.40 65,575,791
AME D AMETEK, Inc. 177.51 886,627
AMZN A Amazon.com, Inc. 179.62 38,402,355
APLE D Apple Hospitality REIT, Inc. 15.00 1,826,636
ARLP A Alliance Resource Partners, L.P. - 21.15 368,054
AROC A Archrock, Inc. 20.20 1,366,707
ARWR F Arrowhead Research Corporation 22.12 1,246,758
ASH A Ashland Inc. 96.06 328,549
ATEN B A10 Networks, Inc. 13.54 699,405
ATGE B Adtalem Global Education Inc. 49.68 410,439
ATRC F AtriCure, Inc. 23.17 764,405
AX B Axos Financial, Inc. 53.05 466,344
AXTA D Axalta Coating Systems Ltd. 31.22 1,836,068
BFAM C Bright Horizons Family Solutions Inc. 106.68 309,887
BR D Broadridge Financial Solutions, Inc. 194.15 429,661
BRX C Brixmor Property Group Inc. 21.72 2,439,718
CCCS C CCC Intelligent Solutions Holdings Inc. 11.50 3,906,569
CCJ A Cameco Corporation 49.35 4,513,871
CEIX B CONSOL Energy Inc. 85.73 560,238
CHK A Chesapeake Energy Corporation 92.06 1,875,344
CLX C Clorox Company (The) 146.48 1,129,052
CMI B Cummins Inc. 291.14 3,753,051
COR B Cencora, Inc. 240.88 1,132,689
CRK A Comstock Resources, Inc. 10.32 4,381,177
CVLT B CommVault Systems, Inc. 98.30 282,349
CZR F Caesars Entertainment Corporation 36.61 3,221,178
DAN C Dana Holding Corporation 12.48 1,486,819
DD A DuPont de Nemours, Inc. 73.71 2,257,635
DEA B Easterly Government Properties, Inc. 11.69 960,728
DEI B Douglas Emmett, Inc. 13.37 1,586,081
DOC A Physicians Realty Trust 18.80 7,584,712
EAT B Brinker International, Inc. 48.83 1,224,919
ECL C Ecolab Inc. 221.10 1,219,040
EIX A Edison International 70.14 1,867,288
ENLC A EnLink Midstream, LLC 13.89 1,897,447
EPD A Enterprise Products Partners L.P. 29.06 4,669,263
ESAB A ESAB Corporation 107.86 265,764
ET A Energy Transfer LP 15.96 11,350,651
ETN A Eaton Corporation, PLC 324.30 2,133,067
ETRN A Equitrans Midstream Corporation 13.74 7,936,469
EXEL A Exelixis, Inc. 23.70 2,236,505
EXR D Extra Space Storage Inc 133.47 1,196,701
F B Ford Motor Company 12.79 47,639,967
FNV A Franco-Nevada Corporation 122.93 778,036
FSS A Federal Signal Corporation 83.88 359,547
FWRG C First Watch Restaurant Group, Inc. 23.65 553,429
GEHC C GE HealthCare Technologies Inc. 86.24 3,485,442
GNRC A Generac Holdlings Inc. 140.12 1,089,241
GPK A Graphic Packaging Holding Company 27.53 2,736,044
GVA A Granite Construction Incorporated 55.53 367,965
HRMY D Harmony Biosciences Holdings, Inc. 29.32 402,691
HRZN C Horizon Technology Finance Corporation 11.64 307,470
HSBC A HSBC Holdings, plc. 41.90 2,292,624
HUBB A Hubbell Inc 407.53 403,588
HWM B Howmet Aerospace Inc. 66.40 3,389,563
IDXX D IDEXX Laboratories, Inc. 499.30 388,407
INCY F Incyte Corporation 51.68 1,753,041
IPGP D IPG Photonics Corporation 88.40 252,855
IT D Gartner, Inc. 448.78 347,674
ITW D Illinois Tool Works Inc. 248.28 1,321,158
JKHY D Jack Henry & Associates, Inc. 164.88 367,014
KAR A KAR Auction Services, Inc 17.42 824,985
KNSA C Kiniksa Pharmaceuticals, Ltd. 17.88 388,181
KRG A Kite Realty Group Trust 21.26 1,873,676
LDOS A Leidos Holdings, Inc. 130.36 862,889
LLY D Eli Lilly and Company 733.51 2,777,434
LNG B Cheniere Energy, Inc. 159.14 1,938,367
MAR D Marriot International 240.84 1,444,911
MATX C Matson, Inc. 108.94 261,634
MCY B Mercury General Corporation 51.66 252,571
MDLZ B Mondelez International, Inc. 70.61 8,293,658
MMSI C Merit Medical Systems, Inc. 73.78 394,982
MPC B Marathon Petroleum Corporation 198.39 2,626,323
MPLX A MPLX LP 41.95 2,235,526
MTCH F Match Group, Inc. 31.89 5,158,070
MTW F Manitowoc Company, Inc. (The) 12.64 269,643
NEO D NeoGenomics, Inc. 14.14 880,328
NMIH B NMI Holdings Inc 31.11 580,533
NNN C National Retail Properties 40.76 1,376,481
NRDS D NerdWallet, Inc. 12.89 389,000
NXPI B NXP Semiconductors N.V. 242.70 2,271,622
OHI B Omega Healthcare Investors, Inc. 31.09 1,499,228
OKE A ONEOK, Inc. 81.06 2,947,830
OMCL D Omnicell, Inc. 27.86 490,371
PAYC D Paycom Software, Inc. 188.89 795,701
PECO D Phillips Edison & Company, Inc 32.61 637,601
PEG A Public Service Enterprise Group Incorporated 67.82 2,965,584
PEN F Penumbra, Inc. 204.41 377,381
PFE F Pfizer, Inc. 25.40 40,576,444
POWL B Powell Industries, Inc. 148.82 358,891
PRO D PROS Holdings, Inc. 33.98 281,378
QSR C Restaurant Brands International Inc. 73.82 1,465,153
RGEN D Repligen Corporation 166.58 481,487
RNR D RenaissanceRe Holdings Ltd. 219.08 298,135
SBUX F Starbucks Corporation 88.25 7,551,544
SEE D Sealed Air Corporation 31.74 1,590,940
SILK B Silk Road Medical, Inc. 17.80 730,451
SMCI C Super Micro Computer, Inc. 857.44 9,620,283
SPG C Simon Property Group, Inc. 142.36 1,396,054
SRPT B Sarepta Therapeutics, Inc. 128.77 845,341
STAG D Stag Industrial, Inc. 34.48 1,141,441
STLA C Stellantis N.V. 24.74 5,421,623
STNG A Scorpio Tankers Inc. 72.77 862,612
SUN C Sunoco LP 56.64 333,869
SYY C Sysco Corporation 77.07 2,574,621
TAP D Molson Coors Brewing Company Class B 62.54 1,589,919
THC D Tenet Healthcare Corporation 96.13 1,160,157
TKR D Timken Company (The) 84.98 459,728
TMDX A TransMedics Group, Inc. 92.08 839,523
TREE C Tree.com, Inc. 37.90 250,923
TRN A Trinity Industries, Inc. 27.14 536,529
TROW C T. Rowe Price Group, Inc. 114.02 1,379,745
TXG F 10x Genomics, Inc. 27.59 1,469,058
UBER D Uber Technologies, Inc. 69.05 16,901,952
UFPI C Universal Forest Products, Inc. 113.64 303,994
UNM C Unum Group 50.75 1,338,963
USAC D USA Compression Partners, LP 24.64 275,907
VOYA D ING U.S. Inc. 68.35 967,258
VREX F Varex Imaging Corporation 16.79 271,931
WERN F Werner Enterprises, Inc. 34.74 614,446
WK D Workiva Inc. 80.62 366,494
WSR C Whitestone REIT 11.37 276,974
WU B Western Union Company (The) 13.47 3,827,877
XHR D Xenia Hotels & Resorts, Inc. 14.13 890,978
YUMC D Yum China Holdings, Inc. 39.65 2,993,973
ZBH F Zimmer Biomet Holdings, Inc. 119.35 1,182,561
ZBRA B Zebra Technologies Corporation 297.21 343,882

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