Companies Reporting Earnings on


Symbol Grade Name Close Avg Volume
AGCO D AGCO Corporation 95.62 828,848
AIZ B Assurant, Inc. 193.48 326,604
ALLE B Allegion plc 143.75 659,055
AMD F Advanced Micro Devices, Inc. 156.99 48,404,408
AME C AMETEK, Inc. 171.09 1,241,529
AMGN B Amgen Inc. 335.94 1,887,900
APAM C Artisan Partners Asset Management Inc. 42.70 446,266
ARES B Ares Management 156.05 1,029,185
BEN F Franklin Resources, Inc. 20.79 4,636,484
BLD D TopBuild Corp. 412.79 309,939
BP D BP p.l.c. 33.19 7,019,720
CAT C Caterpillar, Inc. 370.20 2,453,016
CCJ D Cameco Corporation 41.17 4,044,668
CEIX D CONSOL Energy Inc. 96.35 424,637
CGNX D Cognex Corporation 39.56 1,228,227
CHCT F Community Healthcare Trust Incorporated 16.99 363,395
CHK D Chesapeake Energy Corporation 76.29 1,867,354
CMG C Chipotle Mexican Grill, Inc. 57.73 16,254,982
CVLT B CommVault Systems, Inc. 151.69 376,898
CZR C Caesars Entertainment Corporation 41.14 5,205,607
DEA B Easterly Government Properties, Inc. 13.70 871,299
DEI B Douglas Emmett, Inc. 17.14 1,646,733
EA D Electronic Arts Inc. 142.42 2,063,998
ECL B Ecolab Inc. 250.63 960,629
ENLC B EnLink Midstream, LLC 14.47 2,543,510
EPD A Enterprise Products Partners L.P. 29.56 4,532,815
EQH C AXA Equitable Holdings, Inc. 42.34 2,097,668
EQR B Equity Residential 77.03 1,744,405
ETN C Eaton Corporation, PLC 325.48 2,518,411
ETRN D Equitrans Midstream Corporation 12.42 9,522,292
FRSH F Freshworks Inc. 11.60 2,293,311
FSLR C First Solar, Inc. 245.30 2,085,101
GPK B Graphic Packaging Holding Company 30.29 2,052,005
GPN D Global Payments Inc. 113.28 1,836,865
GPRE F Green Plains Renewable Energy, Inc. 13.59 981,219
GRBK B Green Brick Partners, Inc. 82.35 401,141
GVA B Granite Construction Incorporated 79.43 647,375
HAYW C Hayward Holdings, Inc. 15.00 1,767,710
HRMY B Harmony Biosciences Holdings, Inc. 39.02 347,798
HRZN F Horizon Technology Finance Corporation 10.89 271,501
HSBC B HSBC Holdings, plc. 44.59 1,460,782
HUBB B Hubbell Inc 420.42 446,013
HUN D Huntsman Corporation 22.90 1,898,062
IGT D International Game Technology 21.98 1,047,519
INCY C Incyte Corporation 66.30 1,955,337
LBTYA B Liberty Global plc - Class A 20.60 1,352,224
LDOS C Leidos Holdings, Inc. 154.57 834,815
LXP B Lexington Realty Trust 10.21 2,057,405
MAC B Macerich Company (The) 17.00 1,456,538
MSCI C MSCI Inc 554.99 496,166
MTCH C Match Group, Inc. 36.84 5,233,562
MTG B MGIC Investment Corporation 25.57 1,512,921
MTH B Meritage Homes Corporation 208.32 415,035
MTZ B MasTec, Inc. 121.58 794,291
NBIX F Neurocrine Biosciences, Inc. 122.12 915,972
NVS C Novartis AG 116.17 1,213,712
OI D Owens-Illinois, Inc. 13.46 1,614,505
OKE B ONEOK, Inc. 93.34 2,613,253
PAYC D Paycom Software, Inc. 172.34 815,135
PECO B Phillips Edison & Company, Inc 38.48 696,393
PEG B Public Service Enterprise Group Incorporated 82.36 2,662,398
PFE C Pfizer, Inc. 29.76 31,765,954
PRO F PROS Holdings, Inc. 18.63 778,942
RGEN F Repligen Corporation 147.83 866,639
RGLD B Royal Gold, Inc. 139.38 276,936
SAFE B Safety, Income and Growth, Inc. 28.35 334,875
SFM B Sprouts Farmers Market, Inc. 104.76 1,406,691
SIRI C Sirius XM Radio Inc. 24.79 21,952,994
SKY B Skyline Corporation 94.72 469,629
SON C Sonoco Products Company 55.39 668,416
SSTK F Shutterstock, Inc. 35.90 534,424
ST D Sensata Technologies Holding N.V. 36.20 1,626,661
SYY D Sysco Corporation 73.74 2,921,259
TECH C Techne Corporation 79.83 899,986
TM F Toyota Motor Corporation 184.19 342,362
TW A Tradeweb Markets Inc. 119.89 712,092
UE B Urban Edge Properties 21.16 874,460
UFPI C Universal Forest Products, Inc. 131.72 260,957
UNM B Unum Group 56.87 1,131,847
USAC D USA Compression Partners, LP 23.05 326,329
VOYA A ING U.S. Inc. 77.77 734,849
WEC B Wisconsin Energy Corporation 93.50 2,070,527
WSR D Whitestone REIT 13.10 301,324
WTTR C Select Energy Services, Inc. 11.37 904,536
XYL D Xylem Inc. 135.82 1,117,280
YUMC D Yum China Holdings, Inc. 35.61 2,662,747
ZBRA B Zebra Technologies Corporation 362.77 359,958
ZWS B Zurn Elkay Water Solutions Corporation 34.63 960,291

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