Companies Reporting Earnings on


Symbol Grade Name Close Avg Volume
ACGL C Arch Capital Group Ltd. 97.65 1,750,434
ADC B Agree Realty Corporation 61.90 735,083
AIZ D Assurant, Inc. 163.93 346,479
AKR A Acadia Realty Trust 18.23 811,323
AMD B Advanced Micro Devices, Inc. 163.90 49,776,260
AME D AMETEK, Inc. 166.30 1,216,857
ANET A Arista Networks, Inc. 365.42 2,542,327
APAM D Artisan Partners Asset Management Inc. 40.58 410,145
ARES C Ares Management 138.35 1,367,543
ASC B Ardmore Shipping Corporation 22.20 728,182
ATEN D A10 Networks, Inc. 13.70 1,042,019
AX C Axos Financial, Inc. 56.95 629,402
AXS B Axis Capital Holdings Limited 69.39 574,603
AXTA C Axalta Coating Systems Ltd. 34.17 2,207,981
AY B Atlantica Yield plc 22.03 2,089,823
BFAM C Bright Horizons Family Solutions Inc. 110.06 339,842
BLMN F Bloomin' Brands, Inc. 19.19 1,550,716
BP C BP p.l.c. 36.97 7,546,906
BXP B Boston Properties, Inc. 61.48 1,162,639
CAT C Caterpillar, Inc. 330.61 3,108,463
CCCS D CCC Intelligent Solutions Holdings Inc. 11.10 4,367,039
CHK C Chesapeake Energy Corporation 83.63 1,624,468
COLM D Columbia Sportswear Company 76.59 461,757
CVLT A CommVault Systems, Inc. 125.15 378,730
CWH D Camping World Holdings, Inc. 18.17 1,009,678
CZR C Caesars Entertainment Corporation 37.73 4,830,985
DEI C Douglas Emmett, Inc. 13.49 1,400,096
DVN C Devon Energy Corporation 48.11 5,809,215
EA B Electronic Arts Inc. 138.67 2,149,460
ECL B Ecolab Inc. 235.85 1,089,193
EHC A Encompass Health Corporation 86.04 608,759
ENLC A EnLink Midstream, LLC 14.01 1,831,827
EPD A Enterprise Products Partners L.P. 29.06 3,739,735
ESAB D ESAB Corporation 93.22 281,588
ETN C Eaton Corporation, PLC 318.42 2,184,122
ETRN D Equitrans Midstream Corporation 12.97 5,842,756
EXAS F Exact Sciences Corporation 43.19 3,179,754
EXEL C Exelixis, Inc. 21.96 1,926,942
FCPT B Four Corners Property Trust, Inc. 24.66 375,606
FE C FirstEnergy Corporation 38.44 2,525,616
FLS D Flowserve Corporation 47.53 1,071,882
FMS F Fresenius Medical Care AG 19.23 396,740
FRSH D Freshworks Inc. 12.74 2,931,618
FSLR C First Solar, Inc. 231.11 3,168,510
FWRG F First Watch Restaurant Group, Inc. 16.07 732,692
GNRC C Generac Holdlings Inc. 138.03 950,993
GPK D Graphic Packaging Holding Company 25.67 2,548,544
GPN D Global Payments Inc. 96.59 2,564,425
GTE B Gran Tierra Energy Inc. 10.09 327,102
HMN D Horace Mann Educators Corporation 32.13 260,274
HRMY B Harmony Biosciences Holdings, Inc. 30.89 398,206
HWM C Howmet Aerospace Inc. 79.33 3,077,083
IGT D International Game Technology 19.98 1,054,132
INCY C Incyte Corporation 57.66 3,991,547
IQV F IQVIA Holdings, Inc. 206.81 1,213,411
ITW D Illinois Tool Works Inc. 235.99 1,079,357
JBT F John Bean Technologies Corporation 91.31 310,386
KMT F Kennametal Inc. 22.97 668,840
KRG B Kite Realty Group Trust 22.16 1,464,109
LDOS B Leidos Holdings, Inc. 146.64 988,848
LEA F Lear Corporation 115.07 837,968
MAR C Marriot International 240.17 1,468,298
MATX B Matson, Inc. 130.64 258,421
MGY B Magnolia Oil & Gas Corporation 25.99 2,260,053
MOS F Mosaic Company (The) 27.55 4,566,264
MRK C Merck & Company, Inc. 125.85 8,531,377
MSTR D MicroStrategy Incorporated 1302.09 1,286,525
MTCH F Match Group, Inc. 29.52 5,132,157
MUFG A Mitsubishi UFJ Financial Group, Inc. 11.16 2,086,615
NBIX C Neurocrine Biosciences, Inc. 138.23 821,364
NCLH C Norwegian Cruise Line Holdings Ltd. 17.54 14,705,327
NMIH A NMI Holdings Inc 34.23 509,692
NUS F Nu Skin Enterprises, Inc. 10.97 787,468
OI F Owens-Illinois, Inc. 10.50 1,903,460
OMCL F Omnicell, Inc. 26.76 499,903
OSK D Oshkosh Corporation 105.97 470,513
PAYC F Paycom Software, Inc. 143.11 879,949
PECO C Phillips Edison & Company, Inc 32.78 687,269
PEG A Public Service Enterprise Group Incorporated 73.99 2,872,712
PEN F Penumbra, Inc. 177.42 346,457
PFE D Pfizer, Inc. 27.70 37,492,144
PG C Procter & Gamble Company (The) 163.83 5,964,692
PINS B Pinterest, Inc. 43.12 9,282,338
POWL D Powell Industries, Inc. 150.65 364,843
PSX D Phillips 66 140.37 2,422,662
PXD B Pioneer Natural Resources Company 269.62 2,001,109
RIO C Rio Tinto Plc 67.90 2,303,612
ROK D Rockwell Automation, Inc. 266.34 963,630
RVTY F Revvity, Inc. 102.56 882,176
RYTM C Rhythm Pharmaceuticals, Inc. 40.81 569,497
SAFE D Safety, Income and Growth, Inc. 18.79 312,741
SBUX F Starbucks Corporation 76.26 13,021,623
SCI C Service Corporation International 70.08 934,986
SGRY F Surgery Partners, Inc. 23.60 988,303
SPGI B S&P Global Inc. 449.44 1,245,227
SSTK F Shutterstock, Inc. 35.64 455,400
STAG B Stag Industrial, Inc. 36.07 1,063,967
STE D STERIS Corporation 217.38 544,701
SWK F Stanley Black & Decker, Inc. 79.88 1,595,446
SXC C SunCoke Energy, Inc. 10.23 609,342
SYY D Sysco Corporation 70.05 3,537,357
TAP F Molson Coors Brewing Company Class B 50.63 2,235,480
TEX D Terex Corporation 54.20 838,238
TGTX B TG Therapeutics, Inc. 18.79 3,186,703
TM D Toyota Motor Corporation 206.25 297,382
TX C Ternium S.A. 38.01 274,510
UBER B Uber Technologies, Inc. 71.30 18,665,044
UNM D Unum Group 50.63 1,026,380
USAC D USA Compression Partners, LP 23.81 409,671
VOYA D ING U.S. Inc. 71.76 760,363
VREX F Varex Imaging Corporation 14.36 433,872
WEC D Wisconsin Energy Corporation 77.68 1,877,444
WERN D Werner Enterprises, Inc. 35.85 863,734
WSO B Watsco, Inc. 480.56 272,715
WSR B Whitestone REIT 13.21 328,908
ZBH F Zimmer Biomet Holdings, Inc. 106.58 1,495,129
ZBRA C Zebra Technologies Corporation 312.85 313,303

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