Companies Reporting Earnings on


Symbol Grade Name Close Avg Volume
AAT B American Assets Trust, Inc. 27.37 251,646
ADC C Agree Realty Corporation 74.13 1,014,261
ADM D Archer-Daniels-Midland Company 62.45 2,508,073
AMED C Amedisys Inc 97.21 362,796
AWI B Armstrong World Industries Inc 131.24 303,281
BANC B Banc of California, Inc. 15.38 2,175,597
BUSE C First Busey Corporation 27.46 316,245
BYD C Boyd Gaming Corporation 64.14 925,765
CB B Chubb Corporation (The) 290.58 1,462,405
CBU C Community Bank System, Inc. 59.90 287,354
CHX F ChampionX Corporation 30.77 1,603,317
CNI D Canadian National Railway Company 119.05 1,132,236
CSGP D CoStar Group, Inc. 79.29 2,213,317
DGX B Quest Diagnostics Incorporated 155.12 819,016
DHR B Danaher Corporation 276.43 2,323,705
DOV B Dover Corporation 189.28 874,201
EGP B EastGroup Properties, Inc. 191.73 293,262
EWBC D East West Bancorp, Inc. 83.22 677,219
FCF C First Commonwealth Financial Corporation 17.50 614,696
FFBC D First Financial Bancorp. 26.11 412,846
FFIV B F5 Networks, Inc. 217.47 556,280
FI A Fiserv, Inc. 178.78 2,353,491
GE B GE Aerospace 186.16 4,670,266
GLW C Corning Incorporated 44.43 6,058,924
GM C General Motors Company 48.62 13,586,786
GOOG D Alphabet Inc. - Class C 163.24 17,875,590
GOOGL D Alphabet Inc. - Class A 162.77 25,655,517
HAL F Halliburton Company 29.53 7,952,103
HCA B HCA Holdings, Inc. 403.52 1,183,524
HIW B Highwoods Properties, Inc. 33.58 765,648
HRI D Herc Holdings Inc. 157.02 260,101
ICLR D ICON plc 300.92 544,306
ITW C Illinois Tool Works Inc. 257.96 899,542
IVZ B Invesco Plc 17.35 3,432,828
JBT D John Bean Technologies Corporation 92.65 265,784
KMB D Kimberly-Clark Corporation 140.10 2,087,134
KO C Coca-Cola Company (The) 70.62 12,963,692
LRN B Stride, Inc. 83.52 683,841
MANH B Manhattan Associates, Inc. 275.17 418,829
MLI B Mueller Industries, Inc. 72.56 693,205
MMM B 3M Company 133.80 3,950,417
MSFT C Microsoft Corporation 438.69 19,300,723
MTDR F Matador Resources Company 52.20 1,462,414
NEE C NextEra Energy, Inc. 81.67 8,374,062
NEP D NextEra Energy Partners, LP 26.80 1,360,217
ONB C Old National Bancorp 19.46 2,106,495
PCAR D PACCAR Inc. 99.52 2,839,353
PHM B PulteGroup, Inc. 144.98 1,928,649
PII D Polaris Industries Inc. 85.86 771,326
PM C Philip Morris International Inc 119.74 5,095,576
PPBI D Pacific Premier Bancorp Inc 25.97 587,855
RHI D Robert Half International Inc. 66.00 1,150,833
RNST D Renasant Corporation 34.60 772,864
ROIC C Retail Opportunity Investments Corp. 15.73 1,305,158
RRC D Range Resources Corporation 30.51 1,980,592
RTX C Raytheon Technologies Corporation 118.82 5,402,712
RUSHA C Rush Enterprises, Inc. - Class A 53.15 336,343
SASR B Sandy Spring Bancorp, Inc. 33.51 345,923
SCCO D Southern Copper Corporation 105.15 1,069,184
SFNC B Simmons First National Corporation 22.07 557,299
SMPL D The Simply Good Foods Company 34.31 943,770
SNAP F Snap Inc. 10.07 26,104,588
SYF C Synchrony Financial 51.03 3,375,800
TKR D Timken Company (The) 83.23 452,166
TRMK C Trustmark Corporation 33.60 293,183
TRU B TransUnion 105.53 1,700,466
TXN C Texas Instruments Incorporated 207.60 5,493,317
UMBF B UMB Financial Corporation 108.86 422,348
V C Visa Inc. 285.24 7,601,796
VBTX B Veritex Holdings, Inc. 26.18 396,411
VIST D Vista Oil & Gas, S.A.B. de C.V. 47.70 623,280
VZ B Verizon Communications Inc. 43.94 15,436,521
WFRD F Weatherford International plc 93.32 904,494
WM D Waste Management, Inc. 202.61 1,394,587
WTW C Willis Towers Watson Public Limited Company 288.81 401,308
XRX D Xerox Corporation 10.81 1,933,868

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