Companies Reporting Earnings on


Symbol Grade Name Close Avg Volume
ABNB D Airbnb, Inc. 122.42 4,854,718
ACA C Arcosa, Inc. 91.29 278,391
ACLS F Axcelis Technologies, Inc. 97.84 629,523
AEM B Agnico Eagle Mines Limited 81.29 2,114,837
AFG B American Financial Group, Inc. 135.54 262,612
AFL B AFLAC Incorporated 108.96 2,171,560
AIG D American International Group, Inc. 73.30 4,046,226
ALB F Albemarle Corporation 86.59 2,932,772
ALKT D Alkami Technology, Inc. 30.96 565,647
ALL A Allstate Corporation (The) 191.01 1,468,934
AMSC D American Superconductor Corporation 20.73 976,835
ANSS F ANSYS, Inc. 313.39 350,238
APA F Apache Corporation 25.11 5,563,824
APLS F Apellis Pharmaceuticals, Inc. 35.63 1,417,046
AROC C Archrock, Inc. 20.40 1,579,399
ASPN D Aspen Aerogels, Inc. 24.88 1,640,346
ATRC C AtriCure, Inc. 27.99 783,264
AVT D Avnet, Inc. 51.09 549,486
AWK A American Water Works Company, Inc. 148.94 841,347
AXTA C Axalta Coating Systems Ltd. 35.97 1,856,550
BALY B Bally's Corporation 17.26 625,722
BFAM C Bright Horizons Family Solutions Inc. 136.59 374,998
BHP D BHP Billiton Limited 53.05 2,469,080
BIP B Brookfield Infrastructure Partners LP Limited Partnership Units 32.57 378,941
BIPC B Brookfield Infrastructure Partners LP 41.44 450,153
BKH B Black Hills Corporation 60.88 388,875
BLDR C Builders FirstSource, Inc. 194.52 1,719,859
BMRN F BioMarin Pharmaceutical Inc. 71.14 1,750,946
BNL B Broadstone Net Lease, Inc. 18.77 1,150,613
BVN D Buenaventura Mining Company Inc. 13.47 1,208,863
BWXT D BWX Technologies, Inc. 97.09 473,901
BXP B Boston Properties, Inc. 81.29 1,177,985
CAKE C The Cheesecake Factory Incorporated 38.14 968,040
CAR F Avis Budget Group, Inc. 85.08 607,774
CCRN F Cross Country Healthcare, Inc. 14.81 436,486
CDW D CDW Corporation 221.62 914,413
CF B CF Industries Holdings, Inc. 81.49 1,506,150
CFLT F Confluent, Inc. 20.32 4,434,789
CHEF C The Chefs' Warehouse, Inc. 40.49 335,023
CHRD F Chord Energy Corporation 135.95 705,124
CHRW B C.H. Robinson Worldwide, Inc. 102.04 1,308,681
CLX C Clorox Company (The) 163.47 1,236,204
COLM B Columbia Sportswear Company 83.17 407,228
CORT B Corcept Therapeutics Incorporated 42.27 823,229
CRC C California Resources Corporation 52.31 720,582
CTSH C Cognizant Technology Solutions Corporation 75.35 3,531,488
CWH C Camping World Holdings, Inc. 24.31 953,423
CWST D Casella Waste Systems, Inc. 100.56 354,149
DASH C DoorDash, Inc. 132.48 4,038,918
DAY D Dayforce, Inc. 59.18 1,662,002
DBRG D DigitalBridge Group, Inc. 14.00 2,022,422
DD B DuPont de Nemours, Inc. 82.84 1,878,742
DIN F Dine Brands Global 30.05 504,167
DNB C Dun & Bradstreet Holdings, Inc. 11.44 3,464,312
DRVN C Driven Brands Holdings Inc. 14.28 765,342
DTE B DTE Energy Company 124.42 986,801
DXC C DXC Technology Company 21.03 1,177,148
EAT B Brinker International, Inc. 74.08 1,751,201
EIX C Edison International 85.29 1,881,043
ERII D Energy Recovery, Inc. 16.84 402,129
ET B Energy Transfer LP 16.11 17,327,431
ETR A Entergy Corporation 128.61 1,502,924
ETSY F Etsy, Inc. 54.00 3,497,450
EXTR C Extreme Networks, Inc. 14.99 1,426,331
FCPT A Four Corners Property Trust, Inc. 30.62 584,804
FDP B Fresh Del Monte Produce, Inc. 29.55 285,969
FROG F JFrog Ltd. 28.17 1,492,459
FTDR B frontdoor, inc. 48.42 793,362
FYBR C Frontier Communications Parent, Inc. 35.35 3,186,445
GFL D GFL Environmental Inc. 39.16 1,189,066
GKOS D Glaukos Corporation 122.31 556,741
GNRC D Generac Holdlings Inc. 143.14 832,004
GOOS F Canada Goose Holdings Inc. 10.50 643,514
GRMN D Garmin Ltd. 169.87 772,312
GSK C GlaxoSmithKline PLC 42.43 3,396,310
HCC F Warrior Met Coal, Inc. 52.40 711,113
HST D Host Hotels & Resorts, Inc. 17.88 7,713,872
HUM F Humana Inc. 315.29 1,241,478
IDXX C IDEXX Laboratories, Inc. 511.30 468,439
INVA B Innoviva, Inc. 19.54 474,144
IOVA D Iovance Biotherapeutics, Inc. 10.17 6,782,784
IQV C IQVIA Holdings, Inc. 242.67 1,095,607
IVT B InvenTrust Properties Corp. 29.80 305,409
KAR D KAR Auction Services, Inc 16.57 677,799
KHC C The Kraft Heinz Company 35.14 7,409,974
KMT B Kennametal Inc. 25.80 753,210
KW C Kennedy-Wilson Holdings Inc. 11.19 600,245
LIVN D LivaNova PLC 51.07 696,351
LLY C Eli Lilly and Company 904.97 3,161,528
LMND D Lemonade, Inc. 18.22 1,488,182
LPX B Louisiana-Pacific Corporation 101.54 631,388
MAX C MediaAlpha, Inc. 17.49 675,041
MCK F McKesson Corporation 511.62 952,181
MCS B Marcus Corporation (The) 14.75 405,585
MDLZ B Mondelez International, Inc. 75.05 5,841,506
MET A MetLife, Inc. 79.25 3,207,433
MGY C Magnolia Oil & Gas Corporation 25.21 1,988,542
MKSI F MKS Instruments, Inc. 107.84 937,622
MLM D Martin Marietta Materials, Inc. 534.01 485,727
MOD C Modine Manufacturing Company 116.95 766,364
MRO D Marathon Oil Corporation 27.43 5,399,794
MSTR D MicroStrategy Incorporated 132.67 11,405,244
NARI F Inari Medical, Inc. 44.38 898,045
NCLH C Norwegian Cruise Line Holdings Ltd. 19.84 12,817,693
NFG B National Fuel Gas Company 60.30 499,650
NGVT F Ingevity Corporation 39.35 263,024
NI B NiSource Inc 34.07 3,587,476
NMIH B NMI Holdings Inc 41.66 537,470
NMRK B Newmark Group, Inc. 14.93 1,268,952
NNN B National Retail Properties 48.44 1,056,485
NOG D Northern Oil and Gas, Inc. 36.17 1,408,720
NSA B National Storage Affiliates Trust 48.40 706,142
NVST D Envista Holdings Corporation 19.18 2,775,367
OSW C OneSpaWorld Holdings Limited 16.36 507,912
PK D Park Hotels & Resorts Inc. 14.65 2,625,841
PRCT B PROCEPT BioRobotics Corporation 82.97 690,803
PRU C Prudential Financial, Inc. 119.44 1,596,885
PSN B Parsons Corporation 97.78 837,404
PTC D PTC Inc. 175.13 836,819
PTVE D Pactiv Evergreen Inc. 11.54 423,001
PYCR D Paycor HCM, Inc. 13.71 952,380
PYPL B PayPal Holdings, Inc. 73.12 11,579,995
QCOM D QUALCOMM Incorporated 168.30 8,833,427
QNST B QuinStreet, Inc. 19.91 425,680
QRVO F Qorvo, Inc. 99.80 1,345,679
QTWO B Q2 Holdings, Inc. 76.07 538,161
RDN B Radian Group Inc. 35.42 761,934
RDWR C Radware Ltd. 21.41 264,944
REZI D Resideo Technologies, Inc. 19.09 794,299
ROKU C Roku, Inc. 77.36 3,748,232
ROOT F Root, Inc. 39.44 298,793
RPD F Rapid7, Inc. 33.83 687,497
RRX C Regal Rexnord Corporation 165.72 467,502
RSI C Rush Street Interactive, Inc. 10.44 1,799,801
RUN C Sunrun Inc. 20.30 10,905,444
RVLV B Revolve Group, Inc. 25.17 1,040,661
RYN C Rayonier Inc. REIT 31.58 665,064
SBGI C Sinclair Broadcast Group, Inc. 14.07 364,914
SBOW D SilverBow Resorces, Inc. 36.82 781,201
SCI B Service Corporation International 79.54 968,041
SDGR F Schrodinger, Inc. 19.72 650,253
SEDG F SolarEdge Technologies, Inc. 21.69 4,209,363
SEMR C SEMrush Holdings, Inc. 14.56 384,247
SHC B Sotera Health Company 16.74 1,325,343
SIGI C Selective Insurance Group, Inc. 91.88 445,927
SITE D SiteOne Landscape Supply, Inc. 146.97 450,318
SLAB D Silicon Laboratories, Inc. 110.79 300,382
SMCI F Super Micro Computer, Inc. 436.88 7,705,739
SPR D Spirit Aerosystems Holdings, Inc. 32.93 2,180,318
SRPT F Sarepta Therapeutics, Inc. 125.01 1,040,654
SUM C Summit Materials, Inc. 39.15 941,295
SUN D Sunoco LP 53.96 486,450
TEL D TE Connectivity 145.92 1,718,336
TENB D Tenable Holdings, Inc. 39.63 933,602
TGTX B TG Therapeutics, Inc. 25.25 3,270,002
TLK D PT Telekomunikasi Indonesia, Tbk 20.50 524,177
TNDM C Tandem Diabetes Care, Inc. 42.64 1,424,054
TRI C Thomson Reuters Corp 168.16 421,538
TRMB C Trimble Navigation Limited 58.05 1,244,281
TRNO C Terreno Realty Corporation 68.35 631,622
TTMI D TTM Technologies, Inc. 17.82 975,643
UBS D UBS AG 29.91 1,733,393
UTHR C United Therapeutics Corporation 342.59 453,910
VAC F Marriot Vacations Worldwide Corporation 72.30 447,433
VGR C Vector Group Ltd. 14.91 1,847,512
VRSK D Verisk Analytics, Inc. 264.76 672,882
VSTO B Vista Outdoor Inc. 39.60 596,706
W D Wayfair Inc. 50.75 4,224,648
WERN D Werner Enterprises, Inc. 37.52 691,927
WES C Western Gas Partners, LP Limited Partner Interests 39.63 1,311,295
WING B Wingstop Inc. 412.70 418,599
WMB B Williams Companies, Inc. (The) 45.18 5,075,678
YUM D Yum! Brands, Inc. 130.60 1,883,981
Z B Zillow Group, Inc. - Class C 65.11 3,705,749
ZG B Zillow Group, Inc. 63.20 634,074

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