Companies Reporting Earnings on


Symbol Grade Name Close Avg Volume
ACM D Aecom Technology Corporation 86.97 799,677
ACVA D ACV Auctions Inc. 17.78 1,062,542
ADEA C Adeia Inc. 11.16 484,179
AMBC F Ambac Financial Group, Inc. 12.40 523,164
AMRC D Ameresco, Inc. 27.14 500,352
ANAB B AnaptysBio, Inc. 24.90 362,568
APLE D Apple Hospitality REIT, Inc. 14.21 2,329,767
APPF B AppFolio, Inc. 249.97 295,616
APTV F Aptiv PLC 69.79 3,012,617
ARCT F Arcturus Therapeutics Ltd. 21.93 630,835
ARWR C Arrowhead Research Corporation 25.07 1,085,393
AXSM B Axsome Therapeutics, Inc. 80.21 694,198
BNTX F BioNTech SE 79.86 770,186
BUR F Burford Capital Limited 12.93 1,628,186
BWXT B BWX Technologies, Inc. 95.47 581,253
CBT D Cabot Corporation 89.81 331,647
CE F Celanese Corporation 134.76 718,317
CORZ B Core Scientific, Inc. 10.12 10,530,556
CTRA D Coterra Energy Inc. 26.89 6,096,256
CXT D Crane NXT, Co. 58.83 283,652
CXW D Corrections Corporation of America 13.30 979,615
DK D Delek US Holdings, Inc. 24.60 893,247
DO B Diamond Offshore Drilling, Inc. 15.42 2,252,975
EFC A Ellington Financial LLC 12.15 823,308
ELAN F Elanco Animal Health Incorporated 14.13 5,227,896
EVER D EverQuote, Inc. 21.47 519,609
FIVN F Five9, Inc. 42.82 1,330,864
FRPT A Freshpet, Inc. 132.47 582,232
FSK A FS KKR Capital Corp. 20.15 1,318,636
HEAR D Turtle Beach Corporation 14.17 283,542
HIMS C Hims & Hers Health, Inc. 20.49 11,738,352
HPK D HighPeak Energy, Inc. 14.93 315,352
HSIC F Henry Schein, Inc. 64.79 1,045,047
ICUI B ICU Medical, Inc. 117.98 312,658
IFF B Internationa Flavors & Fragrances, Inc. 95.02 1,621,800
INBX F Inhibrx, Inc. 13.44 356,333
JELD D JELD-WEN Holding, Inc. 13.14 987,183
KEY C KeyCorp 14.27 12,102,206
KKR C KKR & Co. L.P. 106.06 7,697,865
KMPR C Kemper Corporation 59.60 340,973
KNTK A Kinetik Holdings Inc. 42.79 465,911
KROS F Keros Therapeutics, Inc. 42.17 339,844
KRYS C Krystal Biotech, Inc. 177.56 419,144
KT C KT Corporation 13.37 545,558
MAG C Mag Silver Corporation 12.25 698,182
MED F MEDIFAST INC 19.77 644,753
MRUS C Merus N.V. 52.95 1,161,446
MTW F Manitowoc Company, Inc. (The) 10.85 281,966
NSA B National Storage Affiliates Trust 40.74 733,441
OGS C ONE Gas, Inc. 63.76 417,757
OKE A ONEOK, Inc. 82.80 2,515,800
PARA D Paramount Global 11.46 18,406,924
PARR D Par Petroleum Corporation. 25.78 788,368
PLL F Piedmont Lithium Limited 10.35 511,210
PLTR B Palantir Technologies Inc. 25.85 43,318,994
PRIM D Primoris Services Corporation 49.04 643,608
QTRX F Quanterix Corporation 12.52 459,583
RCUS F Arcus Biosciences, Inc. 14.36 750,721
RNG D Ringcentral, Inc. 28.57 1,181,642
RXST D RxSight, Inc. 56.99 449,501
SAGE F Sage Therapeutics, Inc. 10.62 1,321,090
SBRA A Sabra Healthcare REIT, Inc. 15.36 1,760,292
SIBN F SI-BONE, Inc. 13.04 354,309
STOK D Stoke Therapeutics, Inc. 12.67 851,140
STRL D Sterling Construction Company Inc 116.53 363,929
SWKS C Skyworks Solutions, Inc. 104.63 2,594,098
TCMD F Tactile Systems Technology, Inc. 11.43 302,738
TDC C Teradata Corporation 34.56 920,026
TDW D Tidewater Inc. 95.26 1,051,690
THS C Treehouse Foods, Inc. 36.97 482,386
TOST C Toast, Inc. 25.31 7,883,753
TSN D Tyson Foods, Inc. 56.60 2,539,281
VECO B Veeco Instruments Inc. 47.39 636,607
VNO B Vornado Realty Trust 26.20 1,696,160
WHD B Cactus, Inc. 51.91 744,848
WTRG D Essential Utilities, Inc. 36.74 1,238,393
ZLAB F Zai Lab Limited 17.22 588,417

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