Companies Reporting Earnings on


Symbol Grade Name Close Avg Volume
AGEN B Agenus Inc. 16.69 821,920
AGO B Assured Guaranty Ltd. 78.19 452,854
AKAM F Akamai Technologies, Inc. 89.53 1,836,019
ALE B Allete, Inc. 62.14 556,476
AMPH F Amphastar Pharmaceuticals, Inc. 38.51 350,427
ARMK B ARAMARK Holdings Corporation 33.28 2,374,755
ARVN D Arvinas, Inc. 25.98 870,330
ATKR F Atkore International Group Inc. 132.33 620,258
AXON D Axon Enterprise, Inc. 289.21 535,400
AZEK D The AZEK Company Inc. 41.30 1,866,579
AZTA D Azenta, Inc. 51.04 530,417
BCSF A Bain Capital Specialty Finance, Inc. 16.32 297,505
BEAM D Beam Therapeutics Inc. 23.05 1,399,471
BHF D Brighthouse Financial, Inc. 43.37 496,509
BL D BlackLine, Inc. 48.05 1,095,858
BOOM C Dynamic Materials Corporation 14.17 330,482
BR C Broadridge Financial Solutions, Inc. 196.56 508,193
BROS A Dutch Bros Inc. 41.85 3,210,502
BSY D Bentley Systems, Incorporated 49.03 1,621,604
CDNA B CareDx, Inc. 15.38 872,770
CDRE C Cadre Holdings, Inc. 33.06 265,724
CECO B CECO Environmental Corp. 28.04 337,132
CEIX B CONSOL Energy Inc. 107.31 410,808
CELH F Celsius Holdings, Inc. 57.84 5,433,297
CHH B Choice Hotels International, Inc. 118.89 521,902
CLDX C Celldex Therapeutics, Inc. 38.99 672,862
CMP F Compass Minerals Intl Inc 10.06 755,392
CPAY D Corpay, Inc. 266.26 498,100
CPNG C Coupang, Inc. 21.08 9,349,736
CRBP B Corbus Pharmaceuticals Holdings, Inc. 49.40 279,166
CRNX C Crinetics Pharmaceuticals, Inc. 46.07 963,571
CWEN D Clearway Energy, Inc. Class C 24.30 867,748
DAR D Darling Ingredients 35.94 2,679,016
DDOG B Datadog, Inc. 130.50 4,176,589
DEA B Easterly Government Properties, Inc. 12.21 791,071
DHT D DHT Holdings, Inc. 11.40 1,652,130
DIOD F Diodes Incorporated 70.19 321,905
DNLI B Denali Therapeutics Inc. 22.01 1,275,919
DUK D Duke Energy Corporation (Holding Company) 99.35 2,857,824
DUOL D Duolingo, Inc. 195.23 1,018,239
EC C Ecopetrol S.A. 11.10 2,051,292
EMBC D Embecta Corp. 12.15 447,740
ENR C Energizer Holdings, Inc. 29.36 516,584
ESTA D Establishment Labs Holdings Inc. 43.34 319,464
EXPD B Expeditors International of Washington, Inc. 120.87 1,412,005
FNF D Fidelity National Financial, Inc. 48.58 977,479
FNV D Franco-Nevada Corporation 117.47 617,635
GATO D Gatos Silver, Inc. 10.35 535,153
GLBE B Global-E Online Ltd. 36.97 1,323,097
GO D Grocery Outlet Holding Corp. 22.05 2,207,681
GOLD D Barrick Gold Corporation 16.56 19,223,018
H B Hyatt Hotels Corporation 148.85 518,426
HAE D Haemonetics Corporation 82.73 649,560
HALO A Halozyme Therapeutics, Inc. 52.02 1,230,869
HHH F Howard Hughes Holdings Inc. 63.71 305,935
HR B Healthcare Realty Trust Incorporated 16.41 4,214,261
IAC F IAC/InterActiveCorp 45.96 886,809
ICHR C Ichor Holdings 39.30 318,948
INGR D Ingredion Incorporated 113.77 383,795
ITOS C iTeos Therapeutics, Inc. 15.01 496,560
JAMF D Jamf Holding Corp. 16.86 777,169
JANX C Janux Therapeutics, Inc. 41.72 883,753
JAZZ F Jazz Pharmaceuticals plc 106.47 820,745
JBGS B JBG SMITH Properties 15.10 999,869
JXN B Jackson Financial Inc. 74.99 673,173
KLIC B Kulicke and Soffa Industries, Inc. 48.21 474,127
LI F Li Auto Inc. 19.08 8,362,139
LNW B Light & Wonder, Inc. 102.74 965,213
LYFT D Lyft, Inc. 13.97 13,823,384
MAC D Macerich Company (The) 14.65 2,021,864
MASI D Masimo Corporation 116.40 741,374
MDGL B Madrigal Pharmaceuticals, Inc. 279.31 512,463
MEG C Montrose Environmental Group, Inc. 42.29 295,970
METC D Ramaco Resources, Inc. 14.01 618,582
MODG D Topgolf Callaway Brands Corp. 15.00 1,781,619
MPC C Marathon Petroleum Corporation 174.79 2,528,377
MPLX A MPLX LP 42.88 1,921,675
MRC C MRC Global Inc. 12.67 635,723
NEO D NeoGenomics, Inc. 13.93 783,006
NFE F New Fortress Energy LLC 20.40 2,004,886
NRG C NRG Energy, Inc. 77.85 3,758,406
NVAX C Novavax, Inc. 12.73 18,913,939
NYT A New York Times Company (The) 51.44 1,099,536
OFIX F Orthofix International N.V. 12.88 313,078
OGN C Organon & Co. 20.31 1,834,207
OLMA C Olema Pharmaceuticals, Inc. 11.14 1,049,045
OSCR D Oscar Health Inc 15.87 3,714,146
PCVX B Vaxcyte, Inc. 76.94 735,892
PETQ A PetIQ, Inc. 22.87 314,409
PODD B Insulet Corporation 196.16 881,838
PRA F ProAssurance Corporation 12.20 283,665
PRGO D Perrigo Company 26.25 1,592,559
PRKS B United Parks & Resorts Inc. 54.91 847,287
PUBM C PubMatic, Inc. 20.40 441,949
QDEL F Quidel Corporation 31.63 942,629
QGEN D Qiagen N.V. 40.23 1,136,642
RDNT B RadNet, Inc. 58.55 570,303
RNA A Avidity Biosciences, Inc. 41.28 1,576,940
RPD C Rapid7, Inc. 43.17 1,267,336
RPRX F Royalty Pharma plc 26.19 2,818,236
RVMD C Revolution Medicines, Inc. 38.81 1,262,583
RWAY D Runway Growth Finance Corp. 11.72 400,858
SATS B EchoStar Corporation 17.71 1,344,151
SEE F Sealed Air Corporation 34.12 1,486,140
SKM D SK Telecom Co., Ltd. 20.81 251,468
SLNO C Soleno Therapeutics, Inc. 42.29 562,977
SMCI C Super Micro Computer, Inc. 812.32 6,847,639
SNPO B Snap One Holdings Corp. 10.75 594,424
SUPN F Supernus Pharmaceuticals, Inc. 26.55 620,956
TALO D Talos Energy, Inc. 11.90 2,006,923
TECH D Techne Corporation 71.61 1,154,106
TGLS C Tecnoglass Inc. 50.29 483,654
TPG D TPG Inc. 40.90 792,040
TWLO D Twilio Inc. 56.75 2,582,655
UMH A UMH Properties, Inc. 16.04 390,534
UPST F Upstart Holdings, Inc. 22.90 4,856,965
UTI C Universal Technical Institute Inc 16.07 610,945
VCYT C Veracyte, Inc. 21.33 780,662
VRDN D Viridian Therapeutics, Inc. 13.21 1,036,297
VTLE D Vital Energy, Inc. 45.12 881,409
WES A Western Gas Partners, LP Limited Partner Interests 40.58 1,121,257
WGS A GeneDx Holdings Corp. 28.69 552,805
WMG D Warner Music Group 30.25 2,298,311
ZTS C Zoetis Inc. 172.58 2,745,727

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