Companies Reporting Earnings on


Symbol Grade Name Close Avg Volume
ADMA C ADMA Biologics Inc 19.39 5,177,316
AEE B Ameren Corporation 86.49 1,278,097
AFRM D Affirm Holdings, Inc. 41.16 9,305,626
AMPH D Amphastar Pharmaceuticals, Inc. 48.02 375,012
ANIP F ANI Pharmaceuticals, Inc. 58.78 390,906
APP C AppLovin Corporation 127.75 4,244,622
ASH F Ashland Inc. 87.63 477,655
ATO B Atmos Energy Corporation 137.78 826,280
AVDL F Avadel Pharmaceuticals plc 12.75 951,723
BE F Bloom Energy Corporation 10.70 4,802,860
BEAM F Beam Therapeutics Inc. 25.05 933,158
BEKE B KE Holdings Inc 20.00 7,435,652
BIIB F Biogen Idec Inc. 194.67 996,405
BXSL C Blackstone Secured Lending Fund 30.20 962,801
CART C Instacart (Maplebear Inc.) 39.90 3,775,435
CDNA C CareDx, Inc. 29.70 956,519
CENX C Century Aluminum Company 16.15 1,192,507
CERT F Certara, Inc. 11.75 1,166,218
CGEM F Cullinan Management, Inc. 17.19 656,036
CPAY B Corpay, Inc. 311.24 405,213
CPRX C Catalyst Pharmaceutical Partners, Inc. 19.56 1,046,202
CRL F Charles River Laboratories International, Inc. 198.31 752,363
CTVA B Corteva, Inc. 58.58 2,857,836
CVS D CVS Caremark Corporation 61.38 8,513,081
DIOD F Diodes Incorporated 63.62 412,523
DIS D Walt Disney Company (The) 96.01 10,999,027
DK F Delek US Holdings, Inc. 18.89 1,221,331
ELF F e.l.f. Beauty, Inc. 112.56 2,262,902
ENS C Enersys 101.58 265,065
ENV C Envestnet, Inc 62.61 892,947
FNV C Franco-Nevada Corporation 125.51 570,984
FOLD F Amicus Therapeutics, Inc. 10.71 2,689,673
FOUR C Shift4 Payments, Inc. 87.85 1,453,749
GMAB F Genmab A/S 24.33 594,076
GNK C Genco Shipping & Trading Limited 19.16 458,472
HG C Hamilton Insurance Group, Ltd. 19.80 734,365
HLMN B Hillman Solutions Corp. 10.60 1,012,560
HP F Helmerich & Payne, Inc. 30.00 1,680,339
HUBS D HubSpot, Inc. 536.00 566,018
IBP C Installed Building Products, Inc. 250.40 284,589
JAMF D Jamf Holding Corp. 17.50 434,610
KKR B KKR & Co. L.P. 132.14 3,191,052
KLG D WK Kellogg Co 17.56 945,224
KNTK C Kinetik Holdings Inc. 44.91 493,606
KRNT A Kornit Digital Ltd. 26.45 331,173
LITE B Lumentum Holdings Inc. 64.53 1,739,353
LYFT D Lyft, Inc. 12.84 14,489,633
MARA D Marathon Digital Holdings, Inc. 17.29 35,095,674
MATV D Mativ Holdings Inc. 17.21 339,388
MFC B Manulife Financial Corporation 29.53 2,132,809
MGM D MGM Resorts International 39.62 5,137,067
MGNI D Magnite, Inc. 13.72 1,721,212
MIDD C The Middleby Corporation 141.71 614,472
MODG F Topgolf Callaway Brands Corp. 10.90 3,248,893
NTR D Nutrien Ltd. 48.25 2,012,113
NTRA C Natera, Inc. 125.72 1,436,753
NYT B New York Times Company (The) 55.32 928,317
OBDC C Blue Owl Capital Corporation 15.00 1,989,436
ODP F Office Depot, Inc. 29.37 562,502
OFIX D Orthofix International N.V. 15.32 263,826
OR B Osisko Gold Royalties Ltd 18.45 600,461
ORA B Ormat Technologies, Inc. 77.47 334,250
OSPN C OneSpan Inc. 16.03 407,798
PFGC B Performance Food Group Company 78.21 1,017,752
PRA C ProAssurance Corporation 14.58 304,609
PRKS D United Parks & Resorts Inc. 51.26 1,042,448
PUBM F PubMatic, Inc. 14.91 551,941
RAMP F LiveRamp Holdings, Inc. 25.09 801,518
RBLX C Roblox Corporation 44.18 6,355,046
RDNT B RadNet, Inc. 69.33 598,286
REYN C Reynolds Consumer Products Inc. 31.14 672,387
RGNX F REGENXBIO Inc. 10.80 477,447
RL B Ralph Lauren Corporation 196.53 748,642
RNA D Avidity Biosciences, Inc. 42.33 1,459,380
RPRX C Royalty Pharma plc 28.21 2,573,370
SFL D Ship Finance International Limited 11.59 1,307,880
SHOO B Steven Madden, Ltd. 48.69 635,922
SKT B Tanger Factory Outlet Centers, Inc. 33.00 716,756
SMG B Scotts Miracle-Gro Company (The) 85.52 804,408
SMR C NuScale Power Corporation 12.55 5,048,330
SPHR D Sphere Entertainment Co. 43.38 724,001
STR F Sitio Royalties Corp. 20.70 605,016
STWD B Starwood Property Trust Inc. 20.81 2,632,489
SU D Suncor Energy Inc. 36.80 3,859,339
SUPN D Supernus Pharmaceuticals, Inc. 30.75 457,051
SWX C Southwest Gas Corporation 74.52 345,997
TEVA D Teva Pharmaceutical Industries 17.46 8,214,597
TRIN D Trinity Capital Inc. 13.93 480,101
TRP B TransCanada Corporation 46.76 2,636,161
TS D Tenaris S.A. 31.57 2,186,768
TTWO D Take-Two Interactive Software, Inc. 153.05 1,583,277
TWLO C Twilio Inc. 64.66 2,106,137
UMH C UMH Properties, Inc. 19.31 544,281
VCEL F Vericel Corporation 43.19 338,560
VSAT F ViaSat, Inc. 12.18 2,279,468
VSH F Vishay Intertechnology, Inc. 19.07 1,345,371
WHD D Cactus, Inc. 58.47 714,299
WRBY C Warby Parker Inc. 16.03 1,674,742
XENE F Xenon Pharmaceuticals Inc. 38.65 311,521
XHR B Xenia Hotels & Resorts, Inc. 15.05 831,222
YPF D YPF Sociedad Anonima 21.68 1,572,676
ZD D Ziff Davis, Inc. 48.85 564,848

Get a Trading Sidekick!

Let us help you stay on top of your investments. We will alert you to important technical developments on your portfolio & watchlist.