Companies Reporting Earnings on


Symbol Grade Name Close Avg Volume
AAON B AAON, Inc. 132.05 419,921
ADEA D Adeia Inc. 11.52 435,565
AIG D American International Group, Inc. 74.66 3,935,172
AL B Air Lease Corporation 47.92 708,390
AMK B AssetMark Financial Holdings, Inc. 35.24 464,497
AOSL D Alpha and Omega Semiconductor Limited 30.39 279,946
APLE B Apple Hospitality REIT, Inc. 15.37 1,807,122
BAM B Brookfield Asset Management Inc 55.00 1,085,956
BCC C Boise Cascade, L.L.C. 137.41 304,406
BEN C Franklin Resources, Inc. 21.64 4,224,574
BFAM F Bright Horizons Family Solutions Inc. 108.36 501,179
BNTX D BioNTech SE 102.14 1,154,330
BOWL D Bowlero Corp. 11.57 614,871
BSM B Black Stone Minerals, L.P. 15.15 368,792
BWIN C The Baldwin Insurance Group, Inc. 45.47 707,228
BWXT B BWX Technologies, Inc. 129.76 936,244
CBT C Cabot Corporation 107.21 375,082
CC C Chemours Company (The) 19.25 1,563,176
CCCS B CCC Intelligent Solutions Holdings Inc. 12.02 2,941,549
CE F Celanese Corporation 72.90 1,678,591
CHH A Choice Hotels International, Inc. 146.54 331,910
CLF F Cliffs Natural Resources Inc 11.66 13,074,673
CLW F Clearwater Paper Corporation 26.03 444,489
CNA C CNA Financial Corporation 48.85 338,874
CNO B CNO Financial Group, Inc. 38.83 688,290
COHR B Coherent, Inc. 103.38 2,593,478
CRGY A Crescent Energy Company 14.56 3,315,439
CRSP D CRISPR Therapeutics AG 47.26 1,379,100
CTRA B Coterra Energy Inc. 26.83 5,967,216
CWK C Cushman & Wakefield plc 13.82 2,159,500
CXT C Crane NXT, Co. 56.86 408,357
CXW C Corrections Corporation of America 21.47 1,273,925
DEI A Douglas Emmett, Inc. 18.75 1,576,048
DO D Diamond Offshore Drilling, Inc. 14.04 1,783,344
DYN D Dyne Therapeutics, Inc. 29.99 1,062,687
ELME D Elme Communities 15.74 540,524
ENTG F Entegris, Inc. 99.96 2,066,978
EQH B AXA Equitable Holdings, Inc. 46.73 2,302,220
EVER F EverQuote, Inc. 18.85 509,449
FANG C Diamondback Energy, Inc. 181.46 2,464,734
FBRT C Franklin BSP Realty Trust, Inc. 12.83 320,042
FIS C Fidelity National Information Services, Inc. 85.90 3,100,053
FN C Fabrinet 226.30 642,369
FRPT B Freshpet, Inc. 153.00 502,589
FSK A FS KKR Capital Corp. 21.49 1,213,894
FTDR A frontdoor, inc. 56.32 606,116
FWRD D Forward Air Corporation 34.94 821,639
G B Genpact Limited 44.64 1,094,960
GKOS A Glaukos Corporation 141.44 531,964
HALO F Halozyme Therapeutics, Inc. 45.76 1,699,373
HGV C Hilton Grand Vacations Inc. 40.78 864,155
HIMS C Hims & Hers Health, Inc. 21.79 15,133,822
HMN B Horace Mann Educators Corporation 40.38 280,445
HOLX D Hologic, Inc. 78.04 1,496,269
HPK C HighPeak Energy, Inc. 15.08 358,884
HUN F Huntsman Corporation 19.42 1,900,066
IART C Integra LifeSciences Holdings Corporation 22.93 951,813
ICHR C Ichor Holdings 31.10 282,771
IDR C Idaho Strategic Resources, Inc. 12.19 285,318
IFF D Internationa Flavors & Fragrances, Inc. 88.84 1,394,242
ILMN C Illumina, Inc. 131.68 1,940,894
INSP F Inspire Medical Systems, Inc. 184.77 615,602
INTA A Intapp, Inc. 58.37 635,884
IREN C Iris Energy Limited 10.10 16,304,084
JELD F JELD-WEN Holding, Inc. 10.21 765,802
KROS D Keros Therapeutics, Inc. 54.14 376,662
L A Loews Corporation 84.49 692,471
LSCC F Lattice Semiconductor Corporation 50.75 2,517,005
MDGL C Madrigal Pharmaceuticals, Inc. 317.09 427,098
MWA B Mueller Water Products 24.82 1,317,270
MYE F Myers Industries, Inc. 11.70 263,245
MYGN F Myriad Genetics, Inc. 15.30 817,424
NSSC F NAPCO Security Technologies, Inc. 36.94 481,670
NTST D NetSTREIT Corp. 15.98 1,096,864
NXPI F NXP Semiconductors N.V. 220.34 2,389,875
NYT D New York Times Company (The) 52.01 996,871
O D Realty Income Corporation 56.88 4,296,173
OGS A ONE Gas, Inc. 76.04 362,912
OTTR C Otter Tail Corporation 79.65 259,632
PARR F Par Petroleum Corporation. 17.20 1,135,590
PCVX D Vaxcyte, Inc. 85.96 1,056,306
PEG A Public Service Enterprise Group Incorporated 90.49 2,615,620
PHIN A PHINIA Inc. 52.74 509,180
PRAA D Portfolio Recovery Associates, Inc. 20.92 266,150
RCKT F Rocket Pharmaceuticals, Inc. 13.04 962,043
RHP B Ryman Hospitality Properties, Inc. (REIT) 112.13 484,930
RRX B Regal Rexnord Corporation 171.20 440,298
RYAAY D Ryanair Holdings plc 43.94 1,667,353
SANM B Sanmina Corporation 77.58 383,457
SATS D EchoStar Corporation 23.43 1,924,732
SBRA B Sabra Healthcare REIT, Inc. 18.39 2,105,983
SD D SandRidge Energy, Inc. 11.70 308,209
SEI A Solaris Energy Infrastructure, Inc. 20.51 376,898
SLAB F Silicon Laboratories, Inc. 101.55 258,173
SLF A Sun Life Financial Inc. 60.81 423,781
ST F Sensata Technologies Holding N.V. 30.72 1,287,258
STRL B Sterling Construction Company Inc 189.43 336,376
TDC D Teradata Corporation 29.97 760,250
TDW F Tidewater Inc. 50.44 1,089,213
TEM C Tempus AI, Inc. 58.15 1,161,121
TGLS B Tecnoglass Inc. 75.35 316,576
TIMB F TIM S.A. 14.09 559,989
TOST A Toast, Inc. 42.50 6,778,163
TRIP F TripAdvisor, Inc. 13.35 2,121,126
TRS B TriMas Corporation 26.38 404,118
VECO F Veeco Instruments Inc. 26.15 660,359
VNO C Vornado Realty Trust 40.98 1,727,866
VNOM A Viper Energy Partners LP 54.01 1,393,064
VOYA B ING U.S. Inc. 79.93 794,925
VRNA A Verona Pharma plc 38.85 955,336
VRTX D Vertex Pharmaceuticals Incorporated 451.23 1,111,285
WTRG B Essential Utilities, Inc. 38.94 1,422,860
YUMC B Yum China Holdings, Inc. 47.38 3,565,392

Free Daily (Stock) Chart Reading

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