Companies Reporting Earnings on


Symbol Grade Name Close Avg Volume
AB B Allianceberstein Holding L.P. Units 34.60 303,339
ABCB B Ameris Bancorp 61.55 288,556
AIT C Applied Industrial Technologies, Inc. 214.87 261,393
AJG C Arthur J. Gallagher & Co. 291.18 695,949
AMT C American Tower Corporation (REIT) 235.95 2,094,957
AMZN C Amazon.com, Inc. 186.43 39,824,207
AON B Aon plc 349.31 964,071
AOS C A.O. Smith Corporation 82.89 948,025
ARCH F Arch Coal, Inc. 124.64 433,726
ATGE D Adtalem Global Education Inc. 73.57 432,988
ATR B AptarGroup, Inc. 153.07 262,301
AX D Axos Financial, Inc. 66.34 631,706
BC C Brunswick Corporation 82.24 719,349
BFH C Bread Financial Holdings, Inc. 52.40 1,025,870
BJRI D BJ's Restaurants, Inc. 31.67 438,933
BPMC D Blueprint Medicines Corporation 89.33 679,925
BPOP C Popular, Inc. 99.68 407,359
BSX B Boston Scientific Corporation 82.57 5,557,135
BTU D Peabody Energy Corporation 22.63 2,440,546
BYON F Beyond, Inc. 10.87 2,200,269
CARR B Carrier Global Corporation 78.19 3,496,127
CBZ F CBIZ, Inc. 67.24 361,434
CC F Chemours Company (The) 18.48 1,339,542
CDP B COPT Defense Properties 30.61 739,057
CFR C Cullen/Frost Bankers, Inc. 111.79 502,269
CINF B Cincinnati Financial Corporation 136.30 605,673
CMCSA D Comcast Corporation - Class A 39.82 17,852,402
CMS A CMS Energy Corporation 70.00 1,994,627
CNP C CenterPoint Energy, Inc (Holding Co) 28.21 7,192,227
COF C Capital One Financial Corporation 145.43 2,369,909
CPT B Camden Property Trust 125.25 1,013,747
CRS B Carpenter Technology Corporation 147.00 608,168
CSL C Carlisle Companies Incorporated 425.29 344,742
CTO C Consolidated-Tomoka Land Co. 19.31 467,277
CUBI F Customers Bancorp, Inc 48.43 486,321
CUZ B Cousins Properties Incorporated 29.14 1,131,712
CWT C California Water Service Group 54.42 287,435
DECK C Deckers Outdoor Corporation 157.23 2,048,152
DLR B Digital Realty Trust, Inc. 158.25 1,518,606
DOW D Dow Inc. 51.64 3,783,160
DVAX D Dynavax Technologies Corporation 11.21 2,068,050
DXCM F DexCom, Inc. 69.46 6,024,597
EBC B Eastern Bankshares, Inc. 16.74 1,351,472
EGO C Eldorado Gold Corporation 17.06 1,345,729
ELME B Elme Communities 18.12 443,701
EME B EMCOR Group, Inc. 408.75 393,492
EMN B Eastman Chemical Company 106.38 827,903
ENPH C Enphase Energy, Inc. 119.74 3,175,496
EQNR D Equinor ASA 25.12 2,785,440
ESS B Essex Property Trust, Inc. 312.24 358,093
EVTC D Evertec, Inc. 33.98 474,412
EXLS C ExlService Holdings, Inc. 35.92 857,779
EXP B Eagle Materials Inc 283.76 337,212
F D Ford Motor Company 10.98 57,614,136
FCFS C First Cash Financial Services, Inc. 119.14 271,043
FE C FirstEnergy Corporation 43.49 2,704,073
FHI A Federated Hermes, Inc. 35.78 597,681
FIX B Comfort Systems USA, Inc. 356.54 358,937
GLPI B Gaming and Leisure Properties, Inc. 51.20 1,367,289
HAS B Hasbro, Inc. 71.16 1,337,390
HEES D H&E Equipment Services, Inc. 46.83 309,826
HIG A Hartford Financial Services Group, Inc. (The) 116.70 1,416,042
HLI B Houlihan Lokey, Inc. 154.78 286,007
HOG C Harley-Davidson, Inc. 38.36 1,674,262
HON D Honeywell International Inc. 201.64 2,650,398
HSY C The Hershey Company 197.63 1,385,092
HTBK C Heritage Commerce Corp 10.09 434,779
HTLD D Heartland Express, Inc. 12.38 312,052
HUBG C Hub Group, Inc. 45.18 426,546
HZO C MarineMax, Inc. 35.74 312,968
INSM D Insmed, Inc. 72.87 1,988,236
INTC F Intel Corporation 20.77 78,474,437
INVX F Innovex International, Inc. 15.60 323,272
ITGR B Integer Holdings Corporation 128.36 318,976
KDP A Keurig Dr Pepper Inc. 37.50 6,706,200
KEX C Kirby Corporation 123.06 487,272
LADR B Ladder Capital Corp 12.08 605,833
LEA D Lear Corporation 107.21 606,853
LH B Laboratory Corporation of America Holdings 227.22 553,749
LHX D L3Harris Technologies, Inc. 229.71 785,138
LII B Lennox International, Inc. 602.41 254,761
LIN B Linde PLC 467.03 1,420,712
LKQ D LKQ Corporation 40.77 1,821,811
LPLA D LPL Financial Holdings Inc. 212.10 1,206,494
LTC B LTC Properties, Inc. 37.31 280,423
LUV C Southwest Airlines Company 28.90 9,966,462
MA B Mastercard Incorporated 494.76 2,245,892
MANU F Manchester United Ltd. 16.15 287,356
MAS B Masco Corporation 81.69 1,744,247
MHK B Mohawk Industries, Inc. 156.61 739,179
MMSI B Merit Medical Systems, Inc. 98.71 444,769
NEM B Newmont Mining Corporation 53.06 6,996,116
NOC B Northrop Grumman Corporation 521.63 700,567
NOV D National Oilwell Varco, Inc. 16.43 3,415,133
NRDS D NerdWallet, Inc. 12.84 547,727
NWE A NorthWestern Corporation 56.54 268,092
NYCB D New York Community Bancorp, Inc. 11.92 6,938,346
OLN D Olin Corporation 43.07 1,249,014
ORAN A Orange 12.19 381,848
ORI A Old Republic International Corporation 35.51 1,074,720
OSK D Oshkosh Corporation 105.23 478,322
PCG C Pacific Gas & Electric Co. 19.51 12,813,835
PFG B Principal Financial Group Inc 83.73 1,207,850
PFS B Provident Financial Services, Inc 18.85 960,662
PFSI B PennyMac Financial Services, Inc. 116.17 298,505
PMT B PennyMac Mortgage Investment Trust 14.25 817,219
PTCT C PTC Therapeutics, Inc. 35.48 542,065
R B Ryder System, Inc. 143.09 258,612
RCL B Royal Caribbean Cruises Ltd. 168.55 2,401,118
RITM B Rithm Capital Corp. 11.81 2,863,631
RMD C ResMed Inc. 238.03 974,998
RS D Reliance Steel & Aluminum Co. 277.11 354,883
RSG D Republic Services, Inc. 199.18 1,023,139
SBCF C Seacoast Banking Corporation of Florida 27.37 450,421
SEI C Solaris Energy Infrastructure, Inc. 12.64 490,749
SHYF D The Shyft Group, Inc. 12.95 351,396
SKX C Skechers U.S.A., Inc. 68.11 1,785,090
SKYW C SkyWest, Inc. 80.01 353,245
SSB B South State Corporation 97.82 420,864
SSNC B SS&C Technologies Holdings, Inc. 75.36 1,082,151
STAG C Stag Industrial, Inc. 39.62 999,272
STM F STMicroelectronics N.V. 27.97 4,671,638
STX D Seagate Technology Holdings PLC 100.93 2,422,806
TBBK B The Bancorp, Inc. 52.50 663,650
TECK C Teck Resources Ltd 47.10 3,061,567
TEX D Terex Corporation 55.85 983,063
TOWN B Towne Bank 34.13 286,660
TPH C Tri Pointe Homes, Inc. 44.76 876,105
TRS D TriMas Corporation 25.23 275,427
TSCO C Tractor Supply Company 275.49 838,096
TXRH D Texas Roadhouse, Inc. 163.11 732,198
TXT D Textron Inc. 87.49 855,064
UDR B UDR, Inc. 46.19 2,328,624
UPS D United Parcel Service, Inc. 130.65 4,735,599
VALE D VALE S.A. 10.53 26,613,362
VC F Visteon Corporation 92.38 265,201
VLO D Valero Energy Corporation 136.66 2,594,508
VMC D Vulcan Materials Company (Holding Company) 244.40 875,305
VRSN D VeriSign, Inc. 179.27 642,583
WEX C WEX Inc. 202.45 347,353
WKC B World Kinect Corporation 30.23 591,121
WST D West Pharmaceutical Services, Inc. 309.18 565,367
WY C Weyerhaeuser Company 33.10 3,556,971

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