Companies Reporting Earnings on


Symbol Grade Name Close Avg Volume
AAON B AAON, Inc. 132.05 419,921
ADEA D Adeia Inc. 11.52 435,565
AIG D American International Group, Inc. 74.66 3,935,172
AL B Air Lease Corporation 47.92 708,390
AMK B AssetMark Financial Holdings, Inc. 35.24 464,497
AOSL D Alpha and Omega Semiconductor Limited 30.39 279,946
APLE B Apple Hospitality REIT, Inc. 15.37 1,807,122
BAM B Brookfield Asset Management Inc 55.00 1,085,956
BCC C Boise Cascade, L.L.C. 137.41 304,406
BEN C Franklin Resources, Inc. 21.64 4,224,574
BFAM F Bright Horizons Family Solutions Inc. 108.36 501,179
BNTX D BioNTech SE 102.14 1,154,330
BOWL D Bowlero Corp. 11.57 614,871
BSM B Black Stone Minerals, L.P. 15.15 368,792
BWIN C The Baldwin Insurance Group, Inc. 45.47 707,228
BWXT B BWX Technologies, Inc. 129.76 936,244
CBT C Cabot Corporation 107.21 375,082
CC C Chemours Company (The) 19.25 1,563,176
CCCS B CCC Intelligent Solutions Holdings Inc. 12.02 2,941,549
CE F Celanese Corporation 72.90 1,678,591
CHH A Choice Hotels International, Inc. 146.54 331,910
CLF F Cliffs Natural Resources Inc 11.66 13,074,673
CLW F Clearwater Paper Corporation 26.03 444,489
CNA C CNA Financial Corporation 48.85 338,874
CNO B CNO Financial Group, Inc. 38.83 688,290
COHR B Coherent, Inc. 103.38 2,593,478
CRGY A Crescent Energy Company 14.56 3,315,439
CRSP D CRISPR Therapeutics AG 47.26 1,379,100
CTRA B Coterra Energy Inc. 26.83 5,967,216
CWK C Cushman & Wakefield plc 13.82 2,159,500
CXT C Crane NXT, Co. 56.86 408,357
CXW C Corrections Corporation of America 21.47 1,273,925
DEI A Douglas Emmett, Inc. 18.75 1,576,048
DO D Diamond Offshore Drilling, Inc. 14.04 1,783,344
DYN D Dyne Therapeutics, Inc. 29.99 1,062,687
ELME D Elme Communities 15.74 540,524
ENTG F Entegris, Inc. 99.96 2,066,978
EQH B AXA Equitable Holdings, Inc. 46.73 2,302,220
EVER F EverQuote, Inc. 18.85 509,449
FANG C Diamondback Energy, Inc. 181.46 2,464,734
FBRT C Franklin BSP Realty Trust, Inc. 12.83 320,042
FIS C Fidelity National Information Services, Inc. 85.90 3,100,053
FN C Fabrinet 226.30 642,369
FRPT B Freshpet, Inc. 153.00 502,589
FSK A FS KKR Capital Corp. 21.49 1,213,894
FTDR A frontdoor, inc. 56.32 606,116
FWRD D Forward Air Corporation 34.94 821,639
G B Genpact Limited 44.64 1,094,960
GKOS A Glaukos Corporation 141.44 531,964
HALO F Halozyme Therapeutics, Inc. 45.76 1,699,373
HGV C Hilton Grand Vacations Inc. 40.78 864,155
HIMS C Hims & Hers Health, Inc. 21.79 15,133,822
HMN B Horace Mann Educators Corporation 40.38 280,445
HOLX D Hologic, Inc. 78.04 1,496,269
HPK C HighPeak Energy, Inc. 15.08 358,884
HUN F Huntsman Corporation 19.42 1,900,066
IART C Integra LifeSciences Holdings Corporation 22.93 951,813
ICHR C Ichor Holdings 31.10 282,771
IDR C Idaho Strategic Resources, Inc. 12.19 285,318
IFF D Internationa Flavors & Fragrances, Inc. 88.84 1,394,242
ILMN C Illumina, Inc. 131.68 1,940,894
INSP F Inspire Medical Systems, Inc. 184.77 615,602
INTA A Intapp, Inc. 58.37 635,884
IREN C Iris Energy Limited 10.10 16,304,084
JELD F JELD-WEN Holding, Inc. 10.21 765,802
KROS D Keros Therapeutics, Inc. 54.14 376,662
L A Loews Corporation 84.49 692,471
LSCC F Lattice Semiconductor Corporation 50.75 2,517,005
MDGL C Madrigal Pharmaceuticals, Inc. 317.09 427,098
MWA B Mueller Water Products 24.82 1,317,270
MYE F Myers Industries, Inc. 11.70 263,245
MYGN F Myriad Genetics, Inc. 15.30 817,424
NSSC F NAPCO Security Technologies, Inc. 36.94 481,670
NTST D NetSTREIT Corp. 15.98 1,096,864
NXPI F NXP Semiconductors N.V. 220.34 2,389,875
NYT D New York Times Company (The) 52.01 996,871
O D Realty Income Corporation 56.88 4,296,173
OGS A ONE Gas, Inc. 76.04 362,912
OTTR C Otter Tail Corporation 79.65 259,632
PARR F Par Petroleum Corporation. 17.20 1,135,590
PCVX D Vaxcyte, Inc. 85.96 1,056,306
PEG A Public Service Enterprise Group Incorporated 90.49 2,615,620
PHIN A PHINIA Inc. 52.74 509,180
PRAA D Portfolio Recovery Associates, Inc. 20.92 266,150
RCKT F Rocket Pharmaceuticals, Inc. 13.04 962,043
RHP B Ryman Hospitality Properties, Inc. (REIT) 112.13 484,930
RRX B Regal Rexnord Corporation 171.20 440,298
RYAAY D Ryanair Holdings plc 43.94 1,667,353
SANM B Sanmina Corporation 77.58 383,457
SATS D EchoStar Corporation 23.43 1,924,732
SBRA B Sabra Healthcare REIT, Inc. 18.39 2,105,983
SD D SandRidge Energy, Inc. 11.70 308,209
SEI A Solaris Energy Infrastructure, Inc. 20.51 376,898
SLAB F Silicon Laboratories, Inc. 101.55 258,173
SLF A Sun Life Financial Inc. 60.81 423,781
ST F Sensata Technologies Holding N.V. 30.72 1,287,258
STRL B Sterling Construction Company Inc 189.43 336,376
TDC D Teradata Corporation 29.97 760,250
TDW F Tidewater Inc. 50.44 1,089,213
TEM C Tempus AI, Inc. 58.15 1,161,121
TGLS B Tecnoglass Inc. 75.35 316,576
TIMB F TIM S.A. 14.09 559,989
TOST A Toast, Inc. 42.50 6,778,163
TRIP F TripAdvisor, Inc. 13.35 2,121,126
TRS B TriMas Corporation 26.38 404,118
VECO F Veeco Instruments Inc. 26.15 660,359
VNO C Vornado Realty Trust 40.98 1,727,866
VNOM A Viper Energy Partners LP 54.01 1,393,064
VOYA B ING U.S. Inc. 79.93 794,925
VRNA A Verona Pharma plc 38.85 955,336
VRTX D Vertex Pharmaceuticals Incorporated 451.23 1,111,285
WTRG B Essential Utilities, Inc. 38.94 1,422,860
YUMC B Yum China Holdings, Inc. 47.38 3,565,392

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