Companies Reporting Earnings on


Symbol Grade Name Close Avg Volume
ACMR D ACM Research, Inc. 19.22 1,396,056
ADM F Archer-Daniels-Midland Company 52.13 2,857,078
AFG B American Financial Group, Inc. 138.77 315,012
AGCO D AGCO Corporation 91.86 748,757
AHCO F AdaptHealth Corp. 10.09 1,011,318
AHH D Armada Hoffler Properties, Inc. 11.20 651,056
AIZ A Assurant, Inc. 209.39 326,382
AKAM F Akamai Technologies, Inc. 89.37 1,533,076
AMRK F A-Mark Precious Metals, Inc. 31.58 342,358
APD B Air Products and Chemicals, Inc. 312.99 1,433,434
APLS F Apellis Pharmaceuticals, Inc. 29.98 2,726,567
APO B Apollo Global Management, LLC 162.00 3,091,096
ARCH B Arch Coal, Inc. 168.39 351,834
ARVN D Arvinas, Inc. 27.14 518,832
ASTH D Astrana Health Inc. 46.96 259,103
AU D AngloGold Ashanti Limited 27.66 2,328,626
AXON B Axon Enterprise, Inc. 603.18 593,335
BCO D Brinks Company (The) 99.57 276,819
BHF B Brighthouse Financial, Inc. 50.51 373,464
BLD F TopBuild Corp. 368.89 278,935
BLDR D Builders FirstSource, Inc. 178.35 1,402,939
BROS B Dutch Bros Inc. 47.18 2,927,997
BVS C Bioventus Inc. 11.82 483,259
CARG B CarGurus, Inc. 34.81 605,471
CEIX B CONSOL Energy Inc. 128.02 449,042
CELH F Celsius Holdings, Inc. 28.90 8,409,651
CG B The Carlyle Group L.P. 52.33 2,335,290
CIVI D Civitas Resources, Inc. 53.50 1,183,180
CPNG C Coupang, Inc. 24.17 7,115,471
CRBP F Corbus Pharmaceuticals Holdings, Inc. 18.78 760,682
CRC B California Resources Corporation 56.93 727,909
DAR C Darling Ingredients 40.68 1,841,690
DD D DuPont de Nemours, Inc. 84.17 1,855,472
DDOG C Datadog, Inc. 124.45 3,079,441
DEA D Easterly Government Properties, Inc. 13.54 869,474
DHI D D.R. Horton, Inc. 168.79 2,434,762
DNLI B Denali Therapeutics Inc. 31.35 823,287
DVA D DaVita HealthCare Partners Inc. 149.66 795,116
DVN F Devon Energy Corporation 38.87 7,940,497
EBAY D eBay Inc. 61.89 5,028,364
EFC D Ellington Financial LLC 12.42 841,007
ELAN D Elanco Animal Health Incorporated 14.07 4,610,838
EMR B Emerson Electric Company 127.26 2,862,181
ENOV C Enovis Corporation 46.42 690,381
EVRG B Evergy, Inc. 62.51 1,770,314
EXAS F Exact Sciences Corporation 51.48 2,531,732
EXPD D Expeditors International of Washington, Inc. 120.06 1,019,046
EXR D Extra Space Storage Inc 167.70 996,142
FMS C Fresenius Medical Care AG 21.30 293,570
FNF C Fidelity National Financial, Inc. 60.23 1,017,390
FTS D Fortis Inc. 44.18 495,412
GEO B Geo Group Inc (The) 25.36 2,863,708
GLDD B Great Lakes Dredge & Dock Corporation 12.69 424,294
GMED B Globus Medical, Inc. 80.88 747,774
GO D Grocery Outlet Holding Corp. 17.80 2,139,690
GSBD F Goldman Sachs BDC, Inc. 12.99 603,761
HOOD A Robinhood Markets, Inc. 30.54 14,841,527
HRB D H&R Block, Inc. 59.18 1,217,844
IDYA F IDEAYA Biosciences, Inc. 31.28 776,941
IMCR D Immunocore Holdings plc 34.69 327,397
IMXI B International Money Express, Inc. 20.70 266,445
INGR B Ingredion Incorporated 151.55 367,706
IT B Gartner, Inc. 547.40 280,400
JBGS D JBG SMITH Properties 17.40 557,816
JKHY C Jack Henry & Associates, Inc. 179.77 465,051
KGC B Kinross Gold Corporation 10.47 14,198,563
KT C KT Corporation 14.95 748,082
LEU C Centrus Energy Corp. 91.76 1,073,845
LPX B Louisiana-Pacific Corporation 111.63 669,002
MASI B Masimo Corporation 162.41 758,907
MBC D MasterBrand, Inc. 17.04 862,847
MEG F Montrose Environmental Group, Inc. 20.51 645,226
METC C Ramaco Resources, Inc. 11.87 515,596
MFA D MFA Financial, Inc. 11.51 823,866
MPC F Marathon Petroleum Corporation 153.75 2,787,674
MPLX B MPLX LP 45.98 1,357,339
MRC B MRC Global Inc. 13.64 506,930
MRCY B Mercury Systems Inc 42.70 436,919
NE D Noble Holding Corporation Plc 34.79 2,514,214
NEO C NeoGenomics, Inc. 15.77 783,592
NHI C National Health Investors, Inc. 81.20 262,378
NMRK B Newmark Group, Inc. 15.56 1,429,100
NOG B Northern Oil and Gas, Inc. 40.93 1,332,716
OCUL B Ocular Therapeutix, Inc. 11.10 1,172,475
OLMA C Olema Pharmaceuticals, Inc. 12.40 432,229
OSCR F Oscar Health Inc 13.54 3,528,221
OUT C OUTFRONT Media Inc. 17.67 1,681,098
OVV D Ovintiv Inc. (DE) 43.17 3,312,901
PAAS C Pan American Silver Corp. 22.64 3,527,549
PAX C Patria Investments Limited 12.16 736,554
PAYO A Payoneer Global Inc. 10.81 2,710,295
PCT C PureCycle Technologies, Inc. 11.96 3,159,362
PINC B Premier, Inc. 22.88 957,566
PNTG D The Pennant Group, Inc. 33.42 297,091
POWI C Power Integrations, Inc. 66.31 405,228
PR C Permian Resources Corporation 14.92 10,402,396
PRAX A Praxis Precision Medicines, Inc. 77.88 286,297
PRIM A Primoris Services Corporation 81.64 642,793
PTLO D Portillo's Inc. 12.52 847,608
QLYS C Qualys, Inc. 153.99 445,319
QSR F Restaurant Brands International Inc. 67.99 1,425,406
RACE D Ferrari N.V. 454.46 309,090
RCUS C Arcus Biosciences, Inc. 17.85 711,956
REPL B Replimune Group, Inc. 12.44 667,674
RIOT C Riot Blockchain, Inc. 12.81 20,125,347
RIVN F Rivian Automotive, Inc. 10.59 29,784,463
RRR F Red Rock Resorts, Inc. 53.27 521,616
RVLV B Revolve Group, Inc. 31.47 924,420
RXO B RXO, Inc. 29.79 1,409,776
RYTM A Rhythm Pharmaceuticals, Inc. 67.33 474,804
SLNO B Soleno Therapeutics, Inc. 57.05 605,723
SMCI F Super Micro Computer, Inc. 24.52 68,268,639
SMMT C Summit Therapeutics plc 21.41 6,011,378
SNCY C Sun Country Airlines Holdings, Inc. 15.17 801,918
SNDX C Syndax Pharmaceuticals, Inc. 21.81 1,003,325
SPG A Simon Property Group, Inc. 179.02 1,387,431
STE F STERIS Corporation 219.19 529,820
STOK C Stoke Therapeutics, Inc. 13.88 561,452
STVN C Stevanato Group S.p.A 21.78 539,292
TAC C TransAlta Corporation 10.30 756,116
TGI B Triumph Group, Inc. 15.90 942,106
TKO D TKO Group Holdings, Inc. 120.18 885,863
TKR F Timken Company (The) 76.85 523,888
TM F Toyota Motor Corporation 172.03 373,896
TVTX A Travere Therapeutics, Inc. 19.85 2,142,957
UBER F Uber Technologies, Inc. 72.04 16,428,962
VAL F Valaris Limited 50.00 1,379,231
VCYT B Veracyte, Inc. 36.48 761,737
WAT B Waters Corporation 384.51 415,144
WTTR B Select Energy Services, Inc. 13.95 811,803
XMTR C Xometry, Inc. 30.59 453,539
XNCR B Xencor, Inc. 23.62 489,640
YUM C Yum! Brands, Inc. 137.21 1,858,846
ZBH C Zimmer Biomet Holdings, Inc. 108.18 1,492,014

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