Companies Reporting Earnings on


Symbol Grade Name Close Avg Volume
ACGL D Arch Capital Group Ltd. 95.71 1,900,044
ADP B Automatic Data Processing, Inc. 298.59 1,549,217
AEM C Agnico Eagle Mines Limited 82.80 2,502,031
AER B Aercap Holdings N.V. 95.25 1,067,020
AFL C AFLAC Incorporated 110.24 1,995,180
ALKT B Alkami Technology, Inc. 37.75 695,652
ALL A Allstate Corporation (The) 197.29 1,411,582
AM A Antero Midstream Partners LP 15.43 2,880,379
AMSC C American Superconductor Corporation 31.16 1,402,060
AR B Antero Resources Corporation 33.18 3,840,544
ATRC C AtriCure, Inc. 36.03 591,602
AVT C Avnet, Inc. 52.92 600,395
AWK C American Water Works Company, Inc. 137.89 1,033,752
AX B Axos Financial, Inc. 79.73 524,031
AXTA B Axalta Coating Systems Ltd. 38.89 2,095,579
BG D Bunge Limited 88.08 1,924,339
BHE B Benchmark Electronics, Inc. 47.04 251,985
BHP F BHP Billiton Limited 52.27 2,484,071
BIO C Bio-Rad Laboratories, Inc. 323.69 315,062
BIP D Brookfield Infrastructure Partners LP Limited Partnership Units 34.19 324,659
BIPC A Brookfield Infrastructure Partners LP 43.42 408,864
BMRN F BioMarin Pharmaceutical Inc. 62.56 1,781,439
BNL D Broadstone Net Lease, Inc. 17.04 1,075,482
BPMC C Blueprint Medicines Corporation 94.81 647,233
BSAC C Banco Santander - Chile ADS 19.52 291,587
BVN F Buenaventura Mining Company Inc. 12.14 1,403,225
BXP D Boston Properties, Inc. 79.56 1,189,701
CAKE B The Cheesecake Factory Incorporated 46.63 1,098,591
CDW F CDW Corporation 175.99 1,086,653
CF A CF Industries Holdings, Inc. 89.91 1,647,776
CFLT B Confluent, Inc. 28.57 3,960,450
CHEF A The Chefs' Warehouse, Inc. 43.96 338,903
CHRW B C.H. Robinson Worldwide, Inc. 109.03 1,323,378
CLH C Clean Harbors, Inc. 247.47 275,919
CLX A Clorox Company (The) 168.05 1,172,619
CMCO C Columbus McKinnon Corporation 36.01 270,910
CNMD C CONMED Corporation 70.69 427,844
COLM C Columbia Sportswear Company 80.10 430,193
CORT B Corcept Therapeutics Incorporated 56.09 1,073,223
CRMD C CorMedix Inc 10.74 1,262,186
CRTO D Criteo S.A. 38.12 453,424
CTSH B Cognizant Technology Solutions Corporation 77.57 3,334,927
CVNA B Carvana Co. 244.50 3,067,935
CW B Curtiss-Wright Corporation 361.45 276,732
CWEN C Clearway Energy, Inc. Class C 27.92 916,361
CWH C Camping World Holdings, Inc. 22.82 1,532,010
CWST A Casella Waste Systems, Inc. 109.05 414,789
DASH B DoorDash, Inc. 172.20 3,228,060
DAWN D Day One Biopharmaceuticals, Inc. 13.62 1,126,645
DAY B Dayforce, Inc. 75.91 1,509,922
DBRG F DigitalBridge Group, Inc. 11.74 2,877,735
DNB A Dun & Bradstreet Holdings, Inc. 12.29 2,697,117
DQ C Daqo New Energy Corp. 20.12 1,689,460
DRVN B Driven Brands Holdings Inc. 15.71 624,440
DTE C DTE Energy Company 122.18 1,240,914
EAT A Brinker International, Inc. 124.74 1,298,284
EG C Everest Group, Ltd. 376.87 407,938
EIX C Edison International 86.12 2,075,769
EPR D EPR Properties 44.28 460,399
EQIX A Equinix, Inc. 918.94 445,731
ERII D Energy Recovery, Inc. 15.50 416,217
ESAB B ESAB Corporation 122.01 271,095
ETD D Ethan Allen Interiors Inc. 28.97 304,615
ETSY D Etsy, Inc. 50.86 4,291,018
EXTR C Extreme Networks, Inc. 15.43 1,152,244
FCPT C Four Corners Property Trust, Inc. 28.96 565,434
FORM F FormFactor, Inc. 39.66 663,932
FPI A Farmland Partners Inc. 12.41 326,807
FTAI A Fortress Transportation and Infrastructure Investors LLC 171.21 1,193,228
FTV C Fortive Corporation 75.75 2,402,347
GDDY A GoDaddy Inc. 190.12 1,071,999
GEHC C GE HealthCare Technologies Inc. 84.90 3,489,697
GEN B Gen Digital Inc. 29.44 3,237,534
GNRC B Generac Holdlings Inc. 180.19 923,262
GPN C Global Payments Inc. 114.83 2,527,100
GRMN B Garmin Ltd. 205.59 940,662
GSK F GlaxoSmithKline PLC 33.35 6,073,883
HCC B Warrior Met Coal, Inc. 69.97 749,339
HES B Hess Corporation 147.47 1,508,278
HESM A Hess Midstream Partners LP 36.07 861,349
HUM C Humana Inc. 293.97 2,714,925
HVT F Haverty Furniture Companies, Inc. 22.60 336,314
IDXX F IDEXX Laboratories, Inc. 418.61 573,244
INFA C Informatica Inc. 25.86 1,818,497
INMD C InMode Ltd. 18.24 1,188,427
INVA D Innoviva, Inc. 19.15 598,063
INVH D Invitation Homes Inc. 33.70 3,938,674
IRTC C iRhythm Technologies, Inc. 73.74 583,294
ITW B Illinois Tool Works Inc. 266.38 826,388
IVT A InvenTrust Properties Corp. 30.80 546,969
JKS D JinkoSolar Holding Company Limited 22.41 1,857,272
KHC F The Kraft Heinz Company 30.88 7,923,298
KLAC F KLA-Tencor Corporation 616.83 1,083,412
KRG A Kite Realty Group Trust 27.16 1,524,791
LIVN D LivaNova PLC 50.05 463,629
LLY F Eli Lilly and Company 753.41 3,582,249
LMND A Lemonade, Inc. 46.58 2,004,349
MAA B Mid-America Apartment Communities, Inc. 157.74 681,519
MATX B Matson, Inc. 151.76 288,820
MAX F MediaAlpha, Inc. 12.22 586,257
MCS B Marcus Corporation (The) 21.69 361,460
MET A MetLife, Inc. 82.60 3,225,693
META C Meta Platforms, Inc. 565.52 12,284,363
MGY A Magnolia Oil & Gas Corporation 27.71 1,971,188
MHO D M/I Homes, Inc. 154.61 322,669
MIR A Mirion Technologies, Inc. 16.07 2,458,789
MLM B Martin Marietta Materials, Inc. 585.26 443,837
MMSI A Merit Medical Systems, Inc. 104.08 415,351
MNRO D Monro Muffler Brake, Inc. 26.77 522,577
MOD B Modine Manufacturing Company 133.65 674,062
MPWR F Monolithic Power Systems, Inc. 560.06 829,814
MSFT D Microsoft Corporation 415.49 19,418,483
MSTR B MicroStrategy Incorporated 473.83 21,478,463
NARI C Inari Medical, Inc. 49.00 878,269
NAVI F Navient Corporation 14.78 635,831
NCLH B Norwegian Cruise Line Holdings Ltd. 26.04 12,813,630
NGVT B Ingevity Corporation 46.24 366,017
NI A NiSource Inc 37.30 3,193,155
NNN C National Retail Properties 43.92 1,123,124
NSA C National Storage Affiliates Trust 43.90 537,465
NVST C Envista Holdings Corporation 20.37 2,127,739
NXT C Nextracker Inc. 37.59 3,060,553
OMF A OneMain Holdings, Inc. 54.96 1,166,146
OPCH F Option Care Health, Inc. 21.88 2,098,765
OSK C Oshkosh Corporation 107.96 588,524
OSPN A OneSpan Inc. 17.26 432,625
OSW B OneSpaWorld Holdings Limited 18.82 493,945
OTIS D Otis Worldwide Corporation 99.69 2,302,182
PK D Park Hotels & Resorts Inc. 14.20 3,082,677
PKX F POSCO 52.56 267,308
PRCT B PROCEPT BioRobotics Corporation 92.70 892,411
PRU B Prudential Financial, Inc. 124.11 1,474,770
PSN D Parsons Corporation 95.30 1,041,723
PYPL B PayPal Holdings, Inc. 84.74 10,566,344
QNST B QuinStreet, Inc. 21.75 452,831
QRVO F Qorvo, Inc. 65.66 1,660,821
RELY B Remitly Global, Inc. 20.46 2,035,632
REYN D Reynolds Consumer Products Inc. 27.64 722,321
ROKU D Roku, Inc. 68.71 3,843,599
ROOT B Root, Inc. 104.77 723,833
RSI A Rush Street Interactive, Inc. 12.21 2,080,310
RYAN B Ryan Specialty Group Holdings, Inc. 70.88 828,467
SCI B Service Corporation International 85.42 929,375
SFM B Sprouts Farmers Market, Inc. 142.75 1,272,257
SIGI C Selective Insurance Group, Inc. 95.98 365,976
SITE F SiteOne Landscape Supply, Inc. 139.54 302,091
SKWD A Skyward Specialty Insurance Group, Inc. 51.43 329,715
SLGN A Silgan Holdings, Inc. 54.77 546,844
SNBR F Sleep Number Corporation 11.67 460,239
SPR D Spirit Aerosystems Holdings, Inc. 31.93 1,685,308
STAA F STAAR Surgical Company 26.32 767,157
SUM B Summit Materials, Inc. 48.40 1,395,972
SUZ B Suzano Papel e Celulose S.A. 10.56 1,282,837
SW A Smurfit WestRock plc 55.70 4,070,870
SXC A SunCoke Energy, Inc. 12.57 1,140,844
TECH F Techne Corporation 68.72 962,381
TEL C TE Connectivity 147.82 1,570,426
TENB D Tenable Holdings, Inc. 40.82 879,388
TLK F PT Telekomunikasi Indonesia, Tbk 16.53 362,399
TNK F Teekay Tankers Ltd. 42.73 351,785
TTMI B TTM Technologies, Inc. 23.30 712,717
TYL B Tyler Technologies, Inc. 601.14 253,454
UBS B UBS AG 31.83 1,339,645
UTHR C United Therapeutics Corporation 364.33 358,542
VGR B Vector Group Ltd. 14.99 2,259,992
VRE A Veris Residential, Inc. 18.25 391,990
VRSK A Verisk Analytics, Inc. 284.20 609,771
VSTO A Vista Outdoor Inc. 44.15 764,311
W D Wayfair Inc. 42.41 4,973,100
WING F Wingstop Inc. 333.21 502,933

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