Companies Reporting Earnings on


Symbol Grade Name Close Avg Volume
ACGL C Arch Capital Group Ltd. 111.42 1,301,675
AESI C Atlas Energy Solutions Inc. 22.28 679,754
AGNC B American Capital Agency Corp. 10.56 15,641,475
AKR B Acadia Realty Trust 22.68 796,293
AMKR F Amkor Technology, Inc. 31.65 1,536,463
ANET B Arista Networks, Inc. 379.32 1,860,294
BCC C Boise Cascade, L.L.C. 142.50 277,863
BRX B Brixmor Property Group Inc. 28.01 2,185,087
BSM D Black Stone Minerals, L.P. 15.00 420,343
CHKP B Check Point Software Technologies Ltd. 191.09 620,786
CLW F Clearwater Paper Corporation 29.76 259,565
CNA C CNA Financial Corporation 50.20 262,335
CRK D Comstock Resources, Inc. 10.13 3,381,592
CVI F CVR Energy Inc. 24.44 1,221,064
CWK B Cushman & Wakefield plc 13.72 1,916,966
DQ D Daqo New Energy Corp. 17.39 707,687
DYN D Dyne Therapeutics, Inc. 36.41 1,229,388
EQC C Equity Commonwealth 20.35 972,037
EXEL C Exelixis, Inc. 26.83 1,769,255
FBRT C Franklin BSP Realty Trust, Inc. 13.65 339,024
FMC C FMC Corporation 64.24 1,293,408
FWRD C Forward Air Corporation 36.61 824,732
HLIT C Harmonic Inc. 14.13 1,259,234
IRT B Independence Realty Trust, Inc. 21.12 1,886,954
JKS D JinkoSolar Holding Company Limited 19.94 663,387
KMPR D Kemper Corporation 60.35 336,905
KRG B Kite Realty Group Trust 26.54 1,350,110
L C Loews Corporation 79.25 577,931
LEG D Leggett & Platt, Incorporated 13.55 1,590,818
LSCC D Lattice Semiconductor Corporation 54.26 3,058,911
LTM B LATAM Airlines Group S.A. 26.12 538,650
MATX B Matson, Inc. 137.18 283,540
MCD B McDonald's Corporation 293.85 3,072,446
MPWR C Monolithic Power Systems, Inc. 911.12 583,555
ON D ON Semiconductor Corporation 73.35 6,739,821
PCH C Potlatch Corporation 46.08 460,044
PDM B Piedmont Office Realty Trust, Inc. 10.15 804,535
PHG B Koninklijke Philips N.V. 30.91 829,932
PINS F Pinterest, Inc. 30.74 10,497,096
PSA B Public Storage 358.62 680,001
RMBS F Rambus, Inc. 39.24 1,819,289
RVTY B Revvity, Inc. 126.48 772,057
RYI D Ryerson Holding Corporation 20.33 371,815
SITC D SITE Centers Corp. 59.50 551,152
SPG B Simon Property Group, Inc. 167.06 1,373,362
THC A Tenet Healthcare Corporation 167.20 1,190,080
TREX D Trex Company, Inc. 70.44 1,157,604
TWO B Two Harbors Investment Corp 14.09 845,929
VFC C V.F. Corporation 18.65 7,193,734
VRNS C Varonis Systems, Inc. 55.05 1,414,978
WDC D Western Digital Corporation 65.97 5,825,871
WELL C Welltower Inc. 125.39 2,586,343
WGS B GeneDx Holdings Corp. 40.65 399,053
WK D Workiva Inc. 78.96 410,825
XPO D XPO Logistics, Inc. 115.30 1,521,431

Get a Trading Assistant

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