Companies Reporting Earnings on


Symbol Grade Name Close Avg Volume
AB A Allianceberstein Holding L.P. Units 37.17 270,675
AJG A Arthur J. Gallagher & Co. 295.88 914,556
ALKS C Alkermes plc 27.91 1,794,643
AMT D American Tower Corporation (REIT) 200.88 2,332,898
AMZN B Amazon.com, Inc. 202.88 38,290,733
AON B Aon plc 380.08 939,290
AOS F A.O. Smith Corporation 71.75 1,103,725
ASB B Associated Banc-Corp 26.55 1,697,468
ATGE B Adtalem Global Education Inc. 87.29 370,941
ATR B AptarGroup, Inc. 168.73 291,556
BC F Brunswick Corporation 78.45 593,845
BCS A Barclays PLC 13.24 10,893,756
BFH B Bread Financial Holdings, Inc. 57.18 841,659
BJRI C BJ's Restaurants, Inc. 34.13 353,302
BSX A Boston Scientific Corporation 90.17 6,191,631
BTU B Peabody Energy Corporation 26.61 2,770,971
CARR D Carrier Global Corporation 74.50 4,041,677
CDP D COPT Defense Properties 30.69 968,576
CFR B Cullen/Frost Bankers, Inc. 137.79 515,781
CINF A Cincinnati Financial Corporation 151.62 529,005
CMCSA B Comcast Corporation - Class A 42.99 18,808,629
CNP A CenterPoint Energy, Inc (Holding Co) 31.57 5,595,252
COF B Capital One Financial Corporation 180.69 2,847,543
COLB B Columbia Banking System, Inc. 29.98 1,770,800
CPT C Camden Property Trust 120.56 971,705
CRS A Carpenter Technology Corporation 180.70 591,190
CSL C Carlisle Companies Incorporated 431.73 315,018
CTO B Consolidated-Tomoka Land Co. 19.47 390,567
CUBI C Customers Bancorp, Inc 53.91 402,835
CUZ B Cousins Properties Incorporated 31.10 1,164,741
CWT C California Water Service Group 51.08 286,781
DECK A Deckers Outdoor Corporation 176.36 1,782,300
DLR A Digital Realty Trust, Inc. 185.91 1,936,691
DOW F Dow Inc. 43.93 5,664,493
DXCM C DexCom, Inc. 75.24 4,306,114
EBC B Eastern Bankshares, Inc. 18.37 997,957
EGBN B Eagle Bancorp, Inc. 28.26 346,310
EGO C Eldorado Gold Corporation 16.18 1,591,030
EHC B Encompass Health Corporation 98.93 657,631
EME A EMCOR Group, Inc. 515.82 378,123
EMN D Eastman Chemical Company 101.37 959,831
ENPH F Enphase Energy, Inc. 63.38 4,683,633
EQNR C Equinor ASA 24.55 4,172,505
ESS B Essex Property Trust, Inc. 300.59 384,941
EXLS B ExlService Holdings, Inc. 44.38 924,224
EXP B Eagle Materials Inc 300.27 278,513
F C Ford Motor Company 10.73 48,078,992
FE C FirstEnergy Corporation 41.73 3,061,271
FFBC B First Financial Bancorp. 28.67 423,891
FHI B Federated Hermes, Inc. 41.42 605,043
FIX A Comfort Systems USA, Inc. 476.25 322,673
FRME B First Merchants Corporation 42.72 288,452
GLPI C Gaming and Leisure Properties, Inc. 50.54 1,255,214
HAS D Hasbro, Inc. 61.85 1,354,919
HEES C H&E Equipment Services, Inc. 55.27 293,170
HIG A Hartford Financial Services Group, Inc. (The) 118.21 1,482,288
HLI A Houlihan Lokey, Inc. 186.95 310,722
HOG F Harley-Davidson, Inc. 32.49 1,801,018
HON B Honeywell International Inc. 226.67 4,011,342
HTBK B Heritage Commerce Corp 10.52 350,250
HTLD C Heartland Express, Inc. 12.19 367,593
HUBG A Hub Group, Inc. 50.25 516,990
INDV C Indivior PLC 10.58 1,088,312
INSM C Insmed, Inc. 72.67 1,533,738
INTC C Intel Corporation 24.01 78,710,541
ITGR B Integer Holdings Corporation 133.37 273,914
KDP D Keurig Dr Pepper Inc. 32.04 10,278,345
KEX A Kirby Corporation 129.30 436,362
KMI A Kinder Morgan, Inc. 28.00 13,963,394
LADR B Ladder Capital Corp 11.61 805,274
LEA F Lear Corporation 93.56 738,494
LH B Laboratory Corporation of America Holdings 237.85 620,244
LHX B L3Harris Technologies, Inc. 244.36 752,646
LIN D Linde PLC 450.14 1,641,904
LKQ F LKQ Corporation 37.32 2,501,367
LPLA A LPL Financial Holdings Inc. 317.05 833,537
LTC B LTC Properties, Inc. 38.37 287,977
LTH D Life Time Group Holdings, Inc. 24.15 1,334,265
LUV B Southwest Airlines Company 31.77 7,010,945
MA B Mastercard Incorporated 512.54 2,304,806
MAS D Masco Corporation 77.01 1,476,438
MGRC B McGrath RentCorp 117.97 368,722
MHK D Mohawk Industries, Inc. 135.73 776,432
NDAQ A The NASDAQ OMX Group, Inc. 80.08 2,689,233
NEM D Newmont Mining Corporation 42.99 9,617,393
NOC D Northrop Grumman Corporation 491.98 664,697
NRDS D NerdWallet, Inc. 12.95 743,598
NTCT C NetScout Systems, Inc. 21.25 476,180
NWE C NorthWestern Corporation 55.57 400,520
OLN F Olin Corporation 40.81 1,537,227
ORAN D Orange 10.46 438,896
ORI A Old Republic International Corporation 37.73 1,157,165
PFG C Principal Financial Group Inc 84.15 1,180,222
PFS B Provident Financial Services, Inc 20.71 640,888
PFSI D PennyMac Financial Services, Inc. 102.72 293,376
PMT D PennyMac Mortgage Investment Trust 13.15 737,010
PPBI B Pacific Premier Bancorp Inc 27.61 571,237
R B Ryder System, Inc. 159.88 273,464
RCL A Royal Caribbean Cruises Ltd. 235.87 1,844,554
RITM D Rithm Capital Corp. 10.64 4,747,364
RMD C ResMed Inc. 241.55 1,051,722
RS B Reliance Steel & Aluminum Co. 313.53 330,740
RSG A Republic Services, Inc. 212.62 951,563
SBCF B Seacoast Banking Corporation of Florida 29.26 409,961
SKX F Skechers U.S.A., Inc. 59.77 2,344,929
SKYW B SkyWest, Inc. 108.98 360,163
SPGI D S&P Global Inc. 503.13 1,148,046
SSB B South State Corporation 104.82 325,095
SSNC C SS&C Technologies Holdings, Inc. 73.43 1,449,515
STM F STMicroelectronics N.V. 24.50 4,934,791
TAL F TAL Education Group 10.13 9,195,749
TBBK B The Bancorp, Inc. 54.98 624,805
TECK D Teck Resources Ltd 46.65 3,133,444
TFSL B TFS Financial Corporation 14.09 269,423
TPH D Tri Pointe Homes, Inc. 41.72 733,959
TSCO D Tractor Supply Company 270.00 934,245
TXRH B Texas Roadhouse, Inc. 193.41 722,359
TXT D Textron Inc. 81.86 1,084,502
UDR C UDR, Inc. 44.34 2,156,851
UPS C United Parcel Service, Inc. 132.09 3,888,403
VALE F VALE S.A. 10.03 31,160,994
VC F Visteon Corporation 87.48 312,113
VLO C Valero Energy Corporation 141.20 2,760,768
VLY B Valley National Bancorp 10.15 7,238,403
VMC B Vulcan Materials Company (Holding Company) 277.81 891,366
VRSN D VeriSign, Inc. 181.41 600,967
WDC F Western Digital Corporation 63.84 4,635,959
WEX F WEX Inc. 180.32 449,379
WKC C World Kinect Corporation 28.02 987,298
WST C West Pharmaceutical Services, Inc. 311.66 627,498
WY D Weyerhaeuser Company 30.67 3,498,273

Free Daily (Stock) Chart Reading

Let us help you stay on top of your investments. We will alert you to important technical developments on your portfolio & watchlist.