Companies Reporting Earnings on


Symbol Grade Name Close Avg Volume
ACLS F Axcelis Technologies, Inc. 63.87 555,268
ADNT F Adient plc 16.88 1,267,745
ALGN F Align Technology, Inc. 210.55 723,022
ALL D Allstate Corporation (The) 190.24 1,605,181
AMSC C American Superconductor Corporation 32.85 1,299,491
AOSL D Alpha and Omega Semiconductor Limited 39.85 844,635
ARM B Arm Holdings plc 162.51 5,869,226
ASGN F On Assignment, Inc. 78.77 352,353
AZTA C Azenta, Inc. 52.32 573,589
BAM C Brookfield Asset Management Inc 57.91 1,058,129
BERY B Berry Plastics Group, Inc. 69.90 1,456,232
BG F Bunge Limited 69.60 1,623,107
BKH D Black Hills Corporation 59.46 477,105
BLBD D Blue Bird Corporation 38.01 772,362
CDW C CDW Corporation 192.02 1,371,852
CENTA D Central Garden & Pet Company - Class A Nonvoting 32.86 300,579
CG C The Carlyle Group L.P. 52.49 1,999,225
CMP D Compass Minerals Intl Inc 12.05 661,093
COHR D Coherent, Inc. 95.89 3,050,810
CPA C Copa Holdings, S.A. 91.81 319,575
CPAY C Corpay, Inc. 375.86 421,190
CRTO C Criteo S.A. 45.50 450,665
CUZ B Cousins Properties Incorporated 31.21 1,301,517
CVS C CVS Caremark Corporation 54.01 13,344,127
CXW D Corrections Corporation of America 18.43 1,132,207
DAY D Dayforce, Inc. 65.03 1,617,913
DHT C DHT Holdings, Inc. 11.36 2,050,798
DIS C Walt Disney Company (The) 110.86 7,861,985
EFX D Equifax, Inc. 248.28 988,449
EG F Everest Group, Ltd. 338.03 418,213
EGP B EastGroup Properties, Inc. 174.66 344,370
EHC B Encompass Health Corporation 99.86 635,313
EMR C Emerson Electric Company 124.37 3,088,001
ENS B Enersys 99.72 281,477
EPC F Edgewell Personal Care Company 31.60 462,482
EQNR D Equinor ASA 23.55 3,274,663
EVR D Evercore Partners Inc 275.51 348,123
FORM F FormFactor, Inc. 35.84 927,299
FR B First Industrial Realty Trust, Inc. 54.90 1,059,113
GFF B Griffon Corporation 79.04 362,334
GL B Globe Life Inc. 123.47 690,067
GOOGL C Alphabet Inc. - Class A 185.34 29,044,826
GSK C GlaxoSmithKline PLC 36.04 4,224,205
HLT A Hilton Worldwide Holdings Inc. 269.69 1,401,378
HOG F Harley-Davidson, Inc. 26.82 1,842,935
HOLX F Hologic, Inc. 64.58 2,500,005
KMT F Kennametal Inc. 22.28 897,345
KN D Knowles Corporation 18.22 623,567
KO C Coca-Cola Company (The) 63.84 13,410,391
LUCK D Lucky Strike Entertainment Corporation 10.42 675,430
MAA B Mid-America Apartment Communities, Inc. 158.13 703,914
MAC B Macerich Company (The) 20.84 2,301,244
MAT A Mattel, Inc. 21.48 3,225,465
MC B Moelis & Company 78.80 646,235
MCK C McKesson Corporation 595.69 778,118
MKSI F MKS Instruments, Inc. 109.38 780,563
MMS F Maximus, Inc. 69.78 858,385
MOH F Molina Healthcare Inc 283.97 618,793
NBIX D Neurocrine Biosciences, Inc. 122.62 1,074,664
NFG A National Fuel Gas Company 71.91 580,170
NLY A Annaly Capital Management Inc 20.53 6,917,639
NVO D Novo Nordisk A/S 86.42 8,047,867
NVST B Envista Holdings Corporation 21.25 2,134,123
NWS B News Corporation - Class B 33.92 665,184
NWSA B News Corporation - Class A 29.04 2,496,320
NYT D New York Times Company (The) 48.84 1,515,667
OHI D Omega Healthcare Investors, Inc. 37.92 1,947,448
OMF B OneMain Holdings, Inc. 56.53 909,034
ORLY A O'Reilly Automotive, Inc. 1316.75 326,772
OSCR D Oscar Health Inc 14.70 3,877,877
PAYC D Paycom Software, Inc. 199.78 524,268
PFGC C Performance Food Group Company 85.09 1,050,715
PFLT B PennantPark Floating Rate Capital Ltd. 11.04 889,488
PTC F PTC Inc. 169.02 890,380
PYPL D PayPal Holdings, Inc. 77.31 9,555,531
QCOM C QUALCOMM Incorporated 167.96 7,986,460
QLYS F Qualys, Inc. 135.57 349,441
QNST C QuinStreet, Inc. 24.10 481,767
RDN D Radian Group Inc. 32.97 1,043,026
REYN F Reynolds Consumer Products Inc. 24.97 543,812
RITM A Rithm Capital Corp. 11.85 3,623,439
RRR C Red Rock Resorts, Inc. 49.25 550,742
RRX F Regal Rexnord Corporation 139.04 502,115
RTX B Raytheon Technologies Corporation 127.95 4,089,979
SLAB B Silicon Laboratories, Inc. 142.66 337,941
SLF C Sun Life Financial Inc. 59.19 548,896
STE B STERIS Corporation 223.23 532,246
TECH D Techne Corporation 72.81 934,922
TIMB C TIM S.A. 13.43 560,217
TKR B Timken Company (The) 81.87 577,582
TRNO B Terreno Realty Corporation 67.32 1,416,429
TTE C Total S.A. 60.78 1,981,261
TTGT F TechTarget, Inc. 17.26 261,870
TTMI C TTM Technologies, Inc. 25.75 649,185
UBER B Uber Technologies, Inc. 74.60 28,960,708
UTI B Universal Technical Institute Inc 29.65 568,409
VKTX F Viking Therapeutics, Inc. 32.56 3,759,598
VSH D Vishay Intertechnology, Inc. 17.17 2,484,281
VSTS F Vestis Corporation 13.76 1,974,589
WMG B Warner Music Group 32.72 1,679,641
WYNN F Wynn Resorts, Limited 80.58 2,074,933
XPO C XPO Logistics, Inc. 148.16 1,539,904
YUM A Yum! Brands, Inc. 143.56 1,885,081

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