Companies Reporting Earnings on


Symbol Grade Name Close Avg Volume
ALHC B Alignment Healthcare, Inc. 13.67 1,475,891
ALLE C Allegion plc 143.78 803,853
ALSN A Allison Transmission Holdings, Inc. 118.96 593,348
AMD F Advanced Micro Devices, Inc. 147.95 35,013,190
AME A AMETEK, Inc. 190.92 1,218,891
AMGN C Amgen Inc. 325.28 1,884,832
APAM B Artisan Partners Asset Management Inc. 47.96 409,229
ARES B Ares Management 170.38 1,235,120
BP F BP p.l.c. 28.93 8,906,261
CB D Chubb Corporation (The) 281.36 1,597,230
CBZ B CBIZ, Inc. 77.81 328,438
CGNX C Cognex Corporation 42.91 1,129,792
CHCT C Community Healthcare Trust Incorporated 18.79 516,258
CHKP D Check Point Software Technologies Ltd. 176.03 701,038
CMG C Chipotle Mexican Grill, Inc. 58.81 8,765,281
CVLT A CommVault Systems, Inc. 171.57 376,179
CVRX C CVRx, Inc. 15.52 315,871
CZR D Caesars Entertainment Corporation 40.84 4,078,149
EA B Electronic Arts Inc. 157.91 1,777,266
ECL D Ecolab Inc. 250.04 920,277
EPD A Enterprise Products Partners L.P. 30.42 3,380,848
EQR D Equity Residential 73.53 1,609,078
EQT B EQT Corporation 41.22 6,651,422
EXE B Expand Energy Corporation 92.49 2,600,321
FCF B First Commonwealth Financial Corporation 18.42 517,367
FSLR F First Solar, Inc. 193.93 2,769,808
GLW B Corning Incorporated 48.72 4,571,650
GOOG B Alphabet Inc. - Class C 179.86 17,561,899
GOOGL B Alphabet Inc. - Class A 178.35 24,984,371
GPK C Graphic Packaging Holding Company 29.48 2,518,275
GPRE F Green Plains Renewable Energy, Inc. 11.37 1,033,250
GRBK D Green Brick Partners, Inc. 72.91 377,477
GVA A Granite Construction Incorporated 97.94 671,536
HAYW C Hayward Holdings, Inc. 16.05 1,970,479
HNI B HNI Corporation 54.84 262,743
HRMY D Harmony Biosciences Holdings, Inc. 36.08 803,786
HSBC C HSBC Holdings, plc. 44.96 1,211,687
HUBB B Hubbell Inc 467.93 388,107
IEX B IDEX Corporation 228.51 546,432
INCY A Incyte Corporation 83.38 1,902,108
IPGP C IPG Photonics Corporation 83.86 276,154
KNSA D Kiniksa Pharmaceuticals, Ltd. 22.86 382,710
LBTYA D Liberty Global plc - Class A 20.06 1,580,031
LDOS A Leidos Holdings, Inc. 198.42 806,764
MCY A Mercury General Corporation 73.85 276,295
MSCI B MSCI Inc 594.00 447,054
MTCH F Match Group, Inc. 30.56 4,252,266
MTG D MGIC Investment Corporation 24.46 1,579,882
MTH D Meritage Homes Corporation 190.77 374,761
MTZ A MasTec, Inc. 144.89 845,738
NBIX C Neurocrine Biosciences, Inc. 125.74 923,720
NSP F Insperity, Inc. 79.69 310,924
NVS D Novartis AG 106.45 1,092,934
NWBI B Northwest Bancshares, Inc. 14.52 652,055
OI D Owens-Illinois, Inc. 12.80 1,475,309
OKE A ONEOK, Inc. 107.16 2,730,049
OPRA B Opera Limited 18.05 447,573
PAYC B Paycom Software, Inc. 228.75 739,840
PECO B Phillips Edison & Company, Inc 38.97 680,380
PFE F Pfizer, Inc. 26.72 33,980,937
PRO C PROS Holdings, Inc. 22.48 571,643
RDDT A Reddit, Inc. 134.80 5,502,914
RUSHA B Rush Enterprises, Inc. - Class A 62.95 317,296
SAFE F Safety, Income and Growth, Inc. 21.20 391,272
SIRI D Sirius XM Radio Inc. 26.13 6,627,659
SKY C Skyline Corporation 96.84 382,120
SNAP C Snap Inc. 12.01 27,925,428
SON F Sonoco Products Company 50.66 681,725
SSTK D Shutterstock, Inc. 33.03 567,031
STAG D Stag Industrial, Inc. 37.38 983,217
SYY C Sysco Corporation 77.39 3,450,277
THC B Tenet Healthcare Corporation 165.21 1,234,376
TW B Tradeweb Markets Inc. 131.93 800,570
UE A Urban Edge Properties 23.49 777,999
UFPI C Universal Forest Products, Inc. 134.49 277,089
UMBF B UMB Financial Corporation 122.11 378,367
UNM B Unum Group 69.42 1,277,586
V B Visa Inc. 307.87 6,656,651
WERN B Werner Enterprises, Inc. 40.66 703,681
WGS C GeneDx Holdings Corp. 77.80 569,688
WSR B Whitestone REIT 14.44 283,700
XYL F Xylem Inc. 124.37 1,090,883
ZBRA B Zebra Technologies Corporation 399.31 359,864
ZWS B Zurn Elkay Water Solutions Corporation 39.17 1,799,343

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