Companies Reporting Earnings on


Symbol Grade Name Close Avg Volume
ACGL B Arch Capital Group Ltd. 100.65 1,755,918
ADC B Agree Realty Corporation 61.67 766,168
AIG D American International Group, Inc. 74.49 4,358,794
AIZ D Assurant, Inc. 166.89 347,538
AKR A Acadia Realty Trust 18.07 837,416
AMD C Advanced Micro Devices, Inc. 157.69 50,493,450
AME D AMETEK, Inc. 165.57 1,221,110
APAM D Artisan Partners Asset Management Inc. 40.22 419,254
ARES C Ares Management 136.20 1,378,061
ASC B Ardmore Shipping Corporation 22.32 729,091
AX C Axos Financial, Inc. 57.38 635,332
AXS B Axis Capital Holdings Limited 70.00 581,437
AXTA D Axalta Coating Systems Ltd. 33.70 2,307,479
AY B Atlantica Yield plc 21.91 2,107,631
BFAM C Bright Horizons Family Solutions Inc. 108.64 341,444
BLMN D Bloomin' Brands, Inc. 19.31 1,559,007
BP C BP p.l.c. 36.43 7,806,842
BXP B Boston Properties, Inc. 60.69 1,179,680
CAT C Caterpillar, Inc. 329.08 3,139,299
CCCS D CCC Intelligent Solutions Holdings Inc. 11.10 4,350,900
CHK D Chesapeake Energy Corporation 82.50 1,626,488
COLM D Columbia Sportswear Company 77.15 468,630
CVLT A CommVault Systems, Inc. 121.68 374,732
CWH F Camping World Holdings, Inc. 17.57 1,023,716
CZR C Caesars Entertainment Corporation 37.75 4,854,657
DEI C Douglas Emmett, Inc. 13.23 1,439,828
DVN C Devon Energy Corporation 47.73 5,871,458
EA B Electronic Arts Inc. 137.32 2,167,801
ECL B Ecolab Inc. 235.50 1,126,074
EHC B Encompass Health Corporation 85.36 612,916
ENLC A EnLink Midstream, LLC 13.86 1,866,998
EPD A Enterprise Products Partners L.P. 28.99 3,819,679
ESAB D ESAB Corporation 92.76 283,053
ETN D Eaton Corporation, PLC 312.37 2,229,980
ETRN D Equitrans Midstream Corporation 12.82 5,969,178
EXAS F Exact Sciences Corporation 42.43 3,199,886
EXEL B Exelixis, Inc. 22.25 1,971,272
FCPT B Four Corners Property Trust, Inc. 24.44 382,809
FE D FirstEnergy Corporation 38.31 2,520,759
FLS D Flowserve Corporation 46.87 1,065,027
FMS F Fresenius Medical Care AG 19.17 412,333
FRSH D Freshworks Inc. 12.81 2,992,896
FWRG F First Watch Restaurant Group, Inc. 16.95 717,408
GNRC D Generac Holdlings Inc. 133.16 983,045
GPK D Graphic Packaging Holding Company 25.90 2,547,789
GPN F Global Payments Inc. 95.68 2,554,706
HMN D Horace Mann Educators Corporation 32.35 264,682
HRMY B Harmony Biosciences Holdings, Inc. 30.42 396,227
HWM C Howmet Aerospace Inc. 77.30 3,103,731
IGT D International Game Technology 19.99 1,064,974
INCY B Incyte Corporation 60.87 3,977,142
INSP F Inspire Medical Systems, Inc. 138.71 699,712
IQV D IQVIA Holdings, Inc. 208.49 1,206,369
ITW D Illinois Tool Works Inc. 233.41 1,113,321
JBT F John Bean Technologies Corporation 90.36 316,985
KMT F Kennametal Inc. 22.98 683,040
KRG B Kite Realty Group Trust 22.22 1,518,590
LDOS B Leidos Holdings, Inc. 145.56 1,011,788
LEA F Lear Corporation 114.29 837,717
MAR B Marriot International 239.51 1,481,730
MATX B Matson, Inc. 129.08 260,947
MGY C Magnolia Oil & Gas Corporation 25.46 2,320,964
MOS F Mosaic Company (The) 27.96 4,573,369
MRK C Merck & Company, Inc. 127.90 8,662,623
MSTR C MicroStrategy Incorporated 1365.97 1,322,648
MTCH F Match Group, Inc. 29.34 5,176,689
MUFG C Mitsubishi UFJ Financial Group, Inc. 10.90 2,119,129
NBIX C Neurocrine Biosciences, Inc. 140.11 821,198
NCLH B Norwegian Cruise Line Holdings Ltd. 17.68 14,775,420
NMIH A NMI Holdings Inc 34.02 503,965
NUS F Nu Skin Enterprises, Inc. 10.40 788,578
OI F Owens-Illinois, Inc. 10.72 1,917,038
OMCL F Omnicell, Inc. 26.65 501,567
OSK D Oshkosh Corporation 105.65 471,142
PAYC F Paycom Software, Inc. 142.30 878,425
PECO C Phillips Edison & Company, Inc 32.60 693,271
PEG A Public Service Enterprise Group Incorporated 73.63 2,907,588
PEN F Penumbra, Inc. 177.09 353,873
PFE B Pfizer, Inc. 28.22 38,229,445
PG C Procter & Gamble Company (The) 162.72 6,215,201
PINS B Pinterest, Inc. 43.08 9,390,882
POWL D Powell Industries, Inc. 143.43 370,228
PSX C Phillips 66 140.93 2,436,307
PXD A Pioneer Natural Resources Company 269.62 2,001,109
RIO C Rio Tinto Plc 66.41 2,361,500
ROK D Rockwell Automation, Inc. 265.52 983,681
RVTY D Revvity, Inc. 103.00 889,523
RYTM B Rhythm Pharmaceuticals, Inc. 42.67 573,760
SAFE F Safety, Income and Growth, Inc. 18.62 320,715
SBUX F Starbucks Corporation 77.13 13,176,020
SCI C Service Corporation International 70.37 954,112
SGRY F Surgery Partners, Inc. 23.41 1,012,640
SPGI B S&P Global Inc. 446.32 1,267,492
SSTK F Shutterstock, Inc. 37.38 460,852
STE C STERIS Corporation 218.54 551,424
SWK F Stanley Black & Decker, Inc. 77.75 1,602,490
SXC C SunCoke Energy, Inc. 10.04 612,796
SYY D Sysco Corporation 69.88 3,553,534
TAP F Molson Coors Brewing Company Class B 50.60 2,244,903
TEX D Terex Corporation 53.58 847,143
TGTX B TG Therapeutics, Inc. 18.15 3,244,019
TM D Toyota Motor Corporation 203.71 305,428
TX D Ternium S.A. 36.91 276,812
UBER B Uber Technologies, Inc. 71.10 19,220,822
UNM C Unum Group 51.20 1,027,199
USAC D USA Compression Partners, LP 23.65 416,728
VOYA D ING U.S. Inc. 71.11 766,306
VREX F Varex Imaging Corporation 14.29 429,455
VRTX B Vertex Pharmaceuticals Incorporated 471.25 1,191,902
WEC D Wisconsin Energy Corporation 77.69 1,922,024
WERN F Werner Enterprises, Inc. 35.43 861,505
WSO C Watsco, Inc. 461.95 279,792
WSR B Whitestone REIT 13.15 331,498
ZBH F Zimmer Biomet Holdings, Inc. 105.96 1,484,239
ZBRA C Zebra Technologies Corporation 306.21 319,957

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