Companies Reporting Earnings on


Symbol Grade Name Close Avg Volume
ACMR B ACM Research, Inc. 14.10 1,655,521
ADM F Archer-Daniels-Midland Company 52.28 2,851,273
AFG B American Financial Group, Inc. 144.41 348,193
AGCO D AGCO Corporation 97.46 822,543
AHH C Armada Hoffler Properties, Inc. 10.94 696,335
AIZ C Assurant, Inc. 225.37 362,745
AKAM B Akamai Technologies, Inc. 97.40 1,850,429
ALAB B Astera Labs, Inc. 114.68 4,907,646
AMRK F A-Mark Precious Metals, Inc. 30.11 272,009
APD D Air Products and Chemicals, Inc. 321.97 1,531,540
APLS B Apellis Pharmaceuticals, Inc. 33.45 3,473,806
APO A Apollo Global Management, LLC 175.73 3,378,103
ARCH C Arch Coal, Inc. 164.44 311,096
ARVN C Arvinas, Inc. 24.74 611,200
ASTH C Astrana Health Inc. 42.90 289,383
AU F AngloGold Ashanti Limited 25.65 3,279,485
AXON C Axon Enterprise, Inc. 689.78 731,630
BCO C Brinks Company (The) 93.56 289,936
BHF C Brighthouse Financial, Inc. 51.22 374,449
BLD B TopBuild Corp. 374.11 269,404
BLDR B Builders FirstSource, Inc. 175.89 1,203,261
BROS F Dutch Bros Inc. 54.19 2,886,459
BVS C Bioventus Inc. 11.64 435,587
CARG C CarGurus, Inc. 38.38 580,009
CECO D CECO Environmental Corp. 32.46 286,939
CEIX D CONSOL Energy Inc. 124.75 488,727
CELH B Celsius Holdings, Inc. 27.89 8,847,459
CG C The Carlyle Group L.P. 52.76 2,515,859
CIVI F Civitas Resources, Inc. 48.65 1,155,846
CPNG D Coupang, Inc. 24.03 8,090,767
CRBP D Corbus Pharmaceuticals Holdings, Inc. 15.30 410,040
CRC D California Resources Corporation 55.61 636,257
DAR F Darling Ingredients 35.57 2,087,174
DD C DuPont de Nemours, Inc. 81.74 1,805,023
DDOG B Datadog, Inc. 163.35 4,261,143
DEA C Easterly Government Properties, Inc. 11.86 1,102,805
DHI A D.R. Horton, Inc. 159.68 2,510,472
DNLI F Denali Therapeutics Inc. 23.32 764,236
DVA B DaVita HealthCare Partners Inc. 161.37 773,871
EBAY D eBay Inc. 63.48 4,249,422
EFC D Ellington Financial LLC 12.16 797,324
ELAN B Elanco Animal Health Incorporated 12.12 4,515,139
EMR C Emerson Electric Company 133.15 2,803,616
ENFN F Enfusion, Inc. 10.05 379,254
ENOV B Enovis Corporation 47.88 678,924
EVRG D Evergy, Inc. 63.32 1,803,320
EXAS D Exact Sciences Corporation 62.61 2,550,326
EXPD C Expeditors International of Washington, Inc. 120.45 1,070,625
EXR C Extra Space Storage Inc 163.64 938,625
FMS D Fresenius Medical Care AG 24.18 265,407
FNF B Fidelity National Financial, Inc. 62.09 1,026,578
FTS C Fortis Inc. 44.89 592,001
GEO B Geo Group Inc (The) 29.13 3,607,771
GLDD C Great Lakes Dredge & Dock Corporation 12.69 415,089
GMED B Globus Medical, Inc. 83.09 884,797
GO F Grocery Outlet Holding Corp. 18.77 2,233,145
GSBD A Goldman Sachs BDC, Inc. 13.08 764,265
HOOD C Robinhood Markets, Inc. 38.92 20,175,245
HRB C H&R Block, Inc. 57.35 1,325,015
IDYA A IDEAYA Biosciences, Inc. 27.40 876,756
IMXI D International Money Express, Inc. 21.21 267,324
INGR A Ingredion Incorporated 147.85 411,230
IT B Gartner, Inc. 516.60 333,536
JBGS B JBG SMITH Properties 16.25 531,482
JKHY B Jack Henry & Associates, Inc. 173.61 573,831
KT D KT Corporation 16.77 1,516,334
LEU D Centrus Energy Corp. 78.80 1,422,363
LPX C Louisiana-Pacific Corporation 119.96 639,243
MASI D Masimo Corporation 169.39 689,249
MBC B MasterBrand, Inc. 16.78 721,642
MEG F Montrose Environmental Group, Inc. 16.60 730,173
METC B Ramaco Resources, Inc. 12.83 505,227
MFA A MFA Financial, Inc. 10.93 835,806
MPC B Marathon Petroleum Corporation 150.10 2,364,211
MPLX A MPLX LP 49.68 1,663,741
MRC D MRC Global Inc. 13.89 531,847
MRCY F Mercury Systems Inc 38.37 454,312
NE D Noble Holding Corporation Plc 32.93 2,077,566
NEO F NeoGenomics, Inc. 17.19 760,872
NHI B National Health Investors, Inc. 75.60 260,532
NMRK C Newmark Group, Inc. 15.42 1,332,194
NOG F Northern Oil and Gas, Inc. 41.51 1,162,385
OLMA F Olema Pharmaceuticals, Inc. 10.15 457,174
OSCR A Oscar Health Inc 16.40 4,101,672
OUT B OUTFRONT Media Inc. 18.91 1,821,801
OVV F Ovintiv Inc. (DE) 42.67 3,105,847
PAAS F Pan American Silver Corp. 22.76 3,587,774
PAX C Patria Investments Limited 12.35 629,881
PAYO F Payoneer Global Inc. 10.79 3,122,836
PCT F PureCycle Technologies, Inc. 12.52 2,730,575
PINC D Premier, Inc. 21.97 781,705
PNTG B The Pennant Group, Inc. 29.83 300,501
POWI D Power Integrations, Inc. 62.67 359,015
PR D Permian Resources Corporation 15.41 9,345,019
PRAX C Praxis Precision Medicines, Inc. 71.03 304,711
PRIM B Primoris Services Corporation 82.99 670,510
PTLO F Portillo's Inc. 10.54 995,598
QLYS B Qualys, Inc. 156.79 463,558
QSR A Restaurant Brands International Inc. 69.74 1,423,441
RACE D Ferrari N.V. 445.52 304,647
RCUS D Arcus Biosciences, Inc. 17.11 770,694
REPL F Replimune Group, Inc. 13.05 818,785
RIOT D Riot Blockchain, Inc. 12.32 26,769,104
RIVN D Rivian Automotive, Inc. 12.60 37,450,205
RRR C Red Rock Resorts, Inc. 50.40 626,261
RVLV F Revolve Group, Inc. 36.17 927,583
RXO C RXO, Inc. 28.69 919,230
RYTM C Rhythm Pharmaceuticals, Inc. 57.82 504,546
SLNO B Soleno Therapeutics, Inc. 49.65 691,665
SMCI B Super Micro Computer, Inc. 41.14 88,411,185
SMMT C Summit Therapeutics plc 17.52 2,491,427
SNCY F Sun Country Airlines Holdings, Inc. 14.58 861,847
SNDX B Syndax Pharmaceuticals, Inc. 16.80 1,457,909
SPG A Simon Property Group, Inc. 181.88 1,265,864
STE B STERIS Corporation 217.43 595,986
STOK D Stoke Therapeutics, Inc. 12.41 520,236
STVN D Stevanato Group S.p.A 20.14 529,981
TAC F TransAlta Corporation 12.79 871,649
TFPM F Triple Flag Precious Metals Corp. 16.67 309,948
TGI C Triumph Group, Inc. 18.81 976,100
TGTX D TG Therapeutics, Inc. 33.65 3,121,272
TKO D TKO Group Holdings, Inc. 144.16 902,171
TKR B Timken Company (The) 76.11 522,327
TM B Toyota Motor Corporation 174.40 375,058
TRI B Thomson Reuters Corp 169.11 267,755
TVTX D Travere Therapeutics, Inc. 19.26 1,702,560
UBER A Uber Technologies, Inc. 68.81 18,041,592
VAL F Valaris Limited 44.87 1,476,710
VCYT C Veracyte, Inc. 42.84 793,505
WAT C Waters Corporation 381.33 486,133
WTTR F Select Energy Services, Inc. 14.60 843,401
XMTR C Xometry, Inc. 31.52 488,732
XNCR D Xencor, Inc. 25.32 485,622
YUM D Yum! Brands, Inc. 138.13 1,748,851
ZBH D Zimmer Biomet Holdings, Inc. 109.16 1,394,033

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