Companies Reporting Earnings on


Symbol Grade Name Close Avg Volume
ADMA A ADMA Biologics Inc 11.18 3,144,838
ALRM D Alarm.com Holdings, Inc. 63.54 504,671
APP B AppLovin Corporation 83.22 4,585,589
ARHS C Arhaus, Inc. 16.94 1,334,612
AVPT A AvePoint, Inc. 10.42 1,115,582
BCO B Brinks Company (The) 102.40 279,863
BERY D Berry Plastics Group, Inc. 58.85 1,053,434
BLBD B Blue Bird Corporation 53.85 632,639
BWIN A The Baldwin Insurance Group, Inc. 35.47 380,872
CAE F CAE Inc. 18.58 677,250
CENX C Century Aluminum Company 16.75 1,305,278
CERT D Certara, Inc. 13.85 605,942
CF D CF Industries Holdings, Inc. 74.12 2,138,263
CNNE D Cannae Holdings, Inc. 18.14 476,331
CPA D Copa Holdings, S.A. 95.18 266,663
CRGY B Crescent Energy Company 11.85 2,362,338
CRL F Charles River Laboratories International, Inc. 206.58 537,203
DIS D Walt Disney Company (The) 99.29 10,427,482
ERF A Enerplus Corporation 20.09 2,857,703
FA C First Advantage Corporation 16.07 419,574
FDMT D 4D Molecular Therapeutics, Inc. 20.99 562,423
G D Genpact Limited 32.19 1,492,767
GEO C Geo Group Inc (The) 14.36 2,359,712
GRPN B Groupon, Inc. 15.30 1,269,467
HG B Hamilton Insurance Group, Ltd. 16.65 351,995
HMC D Honda Motor Company, Ltd. 32.24 812,232
HROW B Harrow Health, Inc. 20.89 508,109
ILMN F Illumina, Inc. 104.38 2,828,199
IMNM F Immunome, Inc. 12.10 1,105,984
INSW B International Seaways, Inc. 59.13 591,305
IONS B Ionis Pharmaceuticals, Inc. 47.66 1,256,706
JACK F Jack In The Box Inc. 50.94 595,071
MATV D Mativ Holdings Inc. 16.96 324,386
MFC A Manulife Financial Corporation 26.62 2,660,909
MGNI B Magnite, Inc. 13.29 1,999,567
NVO B Novo Nordisk A/S 142.74 3,588,767
OBDC D Blue Owl Capital Corporation 15.36 2,007,048
ODP D Office Depot, Inc. 39.27 545,077
OEC F Orion Engineered Carbons S.A 21.94 360,202
OGE C OGE Energy Corporation 35.70 1,369,507
OR D Osisko Gold Royalties Ltd 15.58 736,780
OSPN B OneSpan Inc. 12.82 441,991
PAAS D Pan American Silver Corp. 19.88 4,589,125
PAM D Pampa Energia S.A. 44.26 308,992
PAR B PAR Technology Corporation 47.09 414,491
PFLT B PennantPark Floating Rate Capital Ltd. 11.54 873,300
PLRX F Pliant Therapeutics, Inc. 10.75 558,043
PRAX D Praxis Precision Medicines, Inc. 41.36 384,121
QNST C QuinStreet, Inc. 16.59 417,393
RBLX B Roblox Corporation 37.21 8,079,991
REYN C Reynolds Consumer Products Inc. 27.98 484,382
RILY F B. Riley Financial, Inc. 17.64 1,230,071
RPAY B Repay Holdings Corporation 10.56 584,162
SLVM B Sylvamo Corporation 68.60 312,963
SMR B NuScale Power Corporation 11.69 5,031,658
SONO F Sonos, Inc. 14.76 1,522,679
SONY C Sony Corporation 84.95 930,238
SPIR B Spire Global 10.84 446,667
SWX D Southwest Gas Corporation 70.38 359,140
TRIN D Trinity Capital Inc. 14.14 407,430
TTD A The Trade Desk, Inc. 97.67 3,694,799
TTEK C Tetra Tech, Inc. 204.48 308,971
VERX A Vertex, Inc. 36.05 1,193,775
VRRM B Verra Mobility Corporation 27.20 1,004,759
VSAT F ViaSat, Inc. 12.70 1,742,428
VSH D Vishay Intertechnology, Inc. 22.30 1,060,022
VST C Vistra Energy Corp. 85.98 8,634,940
VVV B Valvoline Inc. 43.20 1,072,368
WEN F Wendy's Company (The) 16.96 3,909,451
WRBY B Warby Parker Inc. 16.06 1,392,711
WYNN D Wynn Resorts, Limited 89.50 1,671,891
XENE D Xenon Pharmaceuticals Inc. 38.99 340,641
XMTR F Xometry, Inc. 11.56 654,547
XPEL F XPEL, Inc. 35.56 285,861

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