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2026-02-04
108 companies
| company | symbol | time | eps (act/est) | revenue (act/est) |
|---|---|---|---|---|
| ALPHABET INC | GOOGL | AMC | 2.82 / 2.71 | 97.23B / 114.77B |
| MCKESSON CORP | MCK | AMC | 9.34 / 9.31 | 106.16B / 106.92B |
| CENCORA INC | COR | BMO | 4.08 / 4.07 | 85.93B / 86.89B |
| PHILLIPS 66 | PSX | BMO | 2.47 / 2.19 | 36.33B / 32.38B |
| METLIFE INC | MET | AMC | 2.58 / 2.37 | 24.19B / 28.00B |
| ELI LILLY AND CO | LLY | BMO | 7.54 / 6.74 | 19.29B / 18.14B |
| ALLSTATE CORP | ALL | AMC | 14.31 / 9.96 | 17.27B / 14.76B |
| PERFORMANCE FOOD GROUP CO | PFGC | BMO | 0.98 / 1.11 | 16.44B / 16.87B |
| ABBVIE INC | ABBV | BMO | 2.71 / 2.71 | 16.62B / 16.75B |
| UBER TECHNOLOGIES INC | UBER | BMO | 0.71 / 0.81 | 14.37B / 14.61B |
| QUALCOMM INC | QCOM | AMC | 3.50 / 3.47 | 12.25B / 12.42B |
| FLEX LTD | FLEX | BMO | 0.87 / 0.80 | 7.06B / 6.98B |
| LEAR CORP | LEA | BMO | 3.41 / 2.83 | 5.99B / 5.85B |
| JOHNSON CONTROLS INTERNATIONAL PLC | JCI | BMO | 0.89 / 0.85 | 5.80B / 5.70B |
| GE HEALTHCARE TECHNOLOGIES INC | GEHC | BMO | 1.44 / 1.43 | 5.70B / 5.72B |
| CDW CORP | CDW | BMO | 2.57 / 2.47 | 5.51B / 5.34B |
| COGNIZANT TECHNOLOGY SOLUTIONS CORP | CTSH | BMO | 1.35 / 1.35 | 5.33B / 5.42B |
| BOSTON SCIENTIFIC CORP | BSX | BMO | 0.80 / 0.79 | 5.29B / 5.33B |
| FOX CORP | FOXA | BMO | 0.82 / 0.51 | 5.18B / 5.16B |
| MURPHY USA INC | MUSA | AMC | 7.53 / 6.91 | 4.74B / 4.95B |
| AFLAC INC | AFL | AMC | 1.57 / 1.85 | 4.87B / 4.38B |
| AFLAC INC | AFL | AMC | 1.57 / 1.71 | 4.87B / 4.35B |
| O'REILLY AUTOMOTIVE INC | ORLY | AMC | 0.71 / 0.74 | 4.41B / 4.48B |
| EVEREST GROUP LTD | EG | AMC | 13.26 / 13.56 | 4.42B / 4.03B |
| EQUITABLE HOLDINGS INC | EQH | AMC | 1.76 / 1.78 | 3.74B / 4.06B |
| MARKEL GROUP INC | MKL | AMC | 34.45 / 25.99 | 3.80B / 3.98B |
| STANLEY BLACK & DECKER INC | SWK | BMO | 1.41 / 1.29 | 3.68B / 3.82B |
| ADIENT PLC | ADNT | BMO | 0.35 / 0.23 | 3.64B / 3.59B |
| KELLANOVA | K | AMC | n/a / 0.90 | n/a / 3.35B |
| CROWN HOLDINGS INC | CCK | AMC | 1.74 / 1.72 | 3.13B / 3.02B |
| YUM CHINA HOLDINGS INC | YUMC | BMO | 0.40 / 0.36 | 2.82B / 2.78B |
| UGI CORP | UGI | AMC | 1.26 / 1.28 | 2.08B / 2.52B |
| YUM! BRANDS INC | YUM | BMO | 1.73 / 1.79 | 2.51B / 2.48B |
| SKECHERS USA INC | SKX | AMC | n/a / 0.51 | n/a / 2.38B |
| AVERY DENNISON CORP | AVY | BMO | 2.45 / 2.42 | 2.27B / 2.31B |
| NOV INC | NOV | AMC | 0.02 / 0.25 | 2.28B / 2.19B |
| T ROWE PRICE GROUP INC | TROW | BMO | 2.44 / 2.52 | 1.93B / 1.97B |
| SNAP INC | SNAP | AMC | 0.18 / 0.15 | 1.72B / 1.74B |
| COHERENT CORP | COHR | AMC | 1.29 / 1.23 | 1.69B / 1.67B |
| CME GROUP INC | CME | BMO | 2.77 / 2.77 | 1.65B / 1.67B |
| GLOBE LIFE INC | GL | AMC | 3.39 / 3.54 | 1.52B / 1.58B |
| DARLING INGREDIENTS INC | DAR | AMC | n/a / 0.33 | n/a / 1.55B |
| EQUIFAX INC | EFX | BMO | 2.09 / 2.07 | 1.55B / 1.54B |
| REGAL REXNORD CORP | RRX | AMC | 2.51 / 2.50 | 1.52B / 1.55B |
| BROOKFIELD ASSET MANAGEMENT LTD | BAM | BMO | 0.47 / 0.44 | 1.51B / 1.45B |
| STERIS PLC | STE | AMC | 2.53 / 2.56 | 1.50B / 1.50B |
| SILGAN HOLDINGS INC | SLGN | BMO | 0.67 / 0.66 | 1.47B / 1.49B |
| JUNIPER NETWORKS INC | JNPR | AMC | n/a / 0.64 | n/a / 1.47B |
| U-HAUL HOLDING CO | UHAL | AMC | -0.23 / -0.03 | 1.42B / 1.47B |
| STONEX GROUP INC | SNEX | AMC | 2.50 / 2.02 | 1.44B / 631M |
| ENSIGN GROUP INC | ENSG | AMC | 1.82 / 1.80 | 1.36B / 1.39B |
| OLD DOMINION FREIGHT LINE INC | ODFL | BMO | 1.09 / 1.08 | 1.31B / 1.32B |
| EVERCORE INC | EVR | BMO | 5.13 / 4.08 | 1.30B / 1.14B |
| CORPAY INC | CPAY | AMC | 6.04 / 6.06 | 1.25B / 1.26B |
| FMC CORP | FMC | AMC | 1.20 / 1.21 | 1.08B / 1.16B |
| FORTUNE BRANDS INNOVATIONS INC | FBIN | AMC | n/a / 1.02 | n/a / 1.16B |
| PATTERSON-UTI ENERGY INC | PTEN | AMC | -0.02 / -0.12 | 1.15B / 1.13B |
| KEMPER CORP | KMPR | AMC | 0.25 / 0.87 | 1.15B / 1.14B |
| FORTIVE CORP | FTV | BMO | 0.90 / 0.85 | 1.12B / 1.10B |
| TIMKEN CO | TKR | BMO | 1.14 / 1.10 | 1.11B / 1.08B |
| CROWN CASTLE INC | CCI | AMC | 1.12 / 0.51 | 1.07B / 1.07B |
| ALIGN TECHNOLOGY INC | ALGN | AMC | 3.29 / 3.03 | 1.05B / 1.05B |
| REYNOLDS CONSUMER PRODUCTS INC | REYN | BMO | 0.59 / 0.60 | 1.03B / 1.03B |
| ASGN INC | ASGN | AMC | 1.15 / 1.20 | 980M / 993M |
| ENERSYS | ENS | AMC | 2.77 / 2.75 | 919M / 941M |
| IDEX CORP | IEX | BMO | 2.10 / 2.06 | 899M / 891M |
| ARES CAPITAL CORP | ARCC | BMO | 0.50 / 0.51 | 793M / 811M |
| MODINE MANUFACTURING CO | MOD | AMC | 1.19 / 1.00 | 805M / 768M |
| NEW YORK TIMES CO | NYT | BMO | 0.89 / 0.88 | 802M / 799M |
| VISHAY INTERTECHNOLOGY INC | VSH | BMO | 0.01 / 0.02 | 801M / 798M |
| MAGNERA CORP | MAGN | n/a | n/a / 0.11 | n/a / 791M |
| STEWART INFORMATION SERVICES CORP | STC | AMC | 1.65 / 1.37 | 791M / 783M |
| TTM TECHNOLOGIES INC | TTMI | AMC | 0.70 / 0.70 | 774M / 768M |
| AVALONBAY COMMUNITIES INC | AVB | AMC | 2.85 / 1.36 | 768M / 774M |
| PC CONNECTION INC | CNXN | AMC | 0.91 / 0.88 | 703M / 750M |
| BOOT BARN HOLDINGS INC | BOOT | AMC | 2.79 / 2.82 | 706M / 719M |
| PTC INC | PTC | AMC | 1.92 / 1.58 | 686M / 643M |
| WEX INC | WEX | AMC | 4.11 / 3.96 | 673M / 668M |
| ALLEGIANT TRAVEL CO | ALGT | AMC | 2.86 / 2.00 | 656M / 657M |
| BLACK HILLS CORP | BKH | AMC | 1.41 / 1.42 | 636M / 655M |
| CENTRAL GARDEN & PET CO | CENT | AMC | 0.21 / 0.14 | 617M / 640M |
| SYMBOTIC INC | SYM | AMC | 0.39 / 0.13 | 630M / 629M |
| EPLUS INC | PLUS | AMC | 1.45 / 1.03 | 615M / 563M |
| MID-AMERICA APARTMENT COMMUNITIES INC | MAA | AMC | 2.23 / 0.93 | 556M / 562M |
| RALLIANT CORP | RAL | AMC | 0.69 / 0.66 | 555M / 551M |
| QIAGEN NV | QGEN | AMC | 0.62 / 0.64 | 540M / 541M |
| STAR GROUP LP | SGU | AMC | 0.89 / n/a | 539M / n/a |
| KENNAMETAL INC | KMT | BMO | 0.47 / 0.38 | 530M / 528M |
| ELF BEAUTY INC | ELF | AMC | 1.24 / 0.73 | 490M / 464M |
| MOELIS & CO | MC | AMC | 1.13 / 0.84 | 488M / 450M |
| ESSEX PROPERTY TRUST INC | ESS | AMC | 3.98 / 1.49 | 480M / 479M |
| FLUENCE ENERGY INC | FLNC | AMC | -0.34 / -0.21 | 475M / 472M |
| VALVOLINE INC | VVV | BMO | 0.37 / 0.33 | 462M / 467M |
| TRUEBLUE INC | TBI | AMC | n/a / -0.05 | n/a / 417M |
| COMPASS MINERALS INTERNATIONAL INC | CMP | AMC | 0.43 / 0.26 | 396M / 337M |
| EZCORP INC | EZPW | AMC | 0.55 / 0.42 | 382M / 366M |
| VICTORY CAPITAL HOLDINGS INC | VCTR | AMC | 1.78 / 1.67 | 374M / 380M |
| PHIBRO ANIMAL HEALTH CORP | PAHC | AMC | 0.87 / 0.68 | 374M / 363M |
| KIMBALL ELECTRONICS INC | KE | AMC | 0.28 / 0.26 | 341M / 349M |
| BLUE BIRD CORP | BLBD | AMC | 1.00 / 0.83 | 333M / 332M |
| TRIUMPH GROUP INC | TGI | n/a | n/a / 0.27 | n/a / 330M |
| WABASH NATIONAL CORP | WNC | BMO | -0.93 / -0.77 | 321M / 322M |
| OMEGA HEALTHCARE INVESTORS INC | OHI | AMC | 0.80 / 0.49 | 319M / 312M |
| MUELLER WATER PRODUCTS INC | MWA | AMC | 0.29 / 0.27 | 318M / 318M |
| LUCKY STRIKE ENTERTAINMENT CORP | LUCK | AMC | -0.11 / 0.04 | 307M / 318M |
| BIO-TECHNE CORP | TECH | BMO | 0.46 / 0.44 | 296M / 296M |
| TENABLE HOLDINGS INC | TENB | AMC | 0.48 / 0.42 | 261M / 257M |
| REXFORD INDUSTRIAL REALTY INC | REXR | AMC | 0.59 / 0.23 | 248M / 254M |
ALPHABET INC
AMCGOOGL
EPS (act/est)
2.82 / 2.71
Revenue (act/est)
97.23B / 114.77B
MCKESSON CORP
AMCMCK
EPS (act/est)
9.34 / 9.31
Revenue (act/est)
106.16B / 106.92B
CENCORA INC
BMOCOR
EPS (act/est)
4.08 / 4.07
Revenue (act/est)
85.93B / 86.89B
PHILLIPS 66
BMOPSX
EPS (act/est)
2.47 / 2.19
Revenue (act/est)
36.33B / 32.38B
METLIFE INC
AMCMET
EPS (act/est)
2.58 / 2.37
Revenue (act/est)
24.19B / 28.00B
ELI LILLY AND CO
BMOLLY
EPS (act/est)
7.54 / 6.74
Revenue (act/est)
19.29B / 18.14B
ALLSTATE CORP
AMCALL
EPS (act/est)
14.31 / 9.96
Revenue (act/est)
17.27B / 14.76B
PERFORMANCE FOOD GROUP CO
BMOPFGC
EPS (act/est)
0.98 / 1.11
Revenue (act/est)
16.44B / 16.87B
ABBVIE INC
BMOABBV
EPS (act/est)
2.71 / 2.71
Revenue (act/est)
16.62B / 16.75B
UBER TECHNOLOGIES INC
BMOUBER
EPS (act/est)
0.71 / 0.81
Revenue (act/est)
14.37B / 14.61B
QUALCOMM INC
AMCQCOM
EPS (act/est)
3.50 / 3.47
Revenue (act/est)
12.25B / 12.42B
FLEX LTD
BMOFLEX
EPS (act/est)
0.87 / 0.80
Revenue (act/est)
7.06B / 6.98B
LEAR CORP
BMOLEA
EPS (act/est)
3.41 / 2.83
Revenue (act/est)
5.99B / 5.85B
JOHNSON CONTROLS INTERNATIONAL PLC
BMOJCI
EPS (act/est)
0.89 / 0.85
Revenue (act/est)
5.80B / 5.70B
GE HEALTHCARE TECHNOLOGIES INC
BMOGEHC
EPS (act/est)
1.44 / 1.43
Revenue (act/est)
5.70B / 5.72B
CDW CORP
BMOCDW
EPS (act/est)
2.57 / 2.47
Revenue (act/est)
5.51B / 5.34B
COGNIZANT TECHNOLOGY SOLUTIONS CORP
BMOCTSH
EPS (act/est)
1.35 / 1.35
Revenue (act/est)
5.33B / 5.42B
BOSTON SCIENTIFIC CORP
BMOBSX
EPS (act/est)
0.80 / 0.79
Revenue (act/est)
5.29B / 5.33B
FOX CORP
BMOFOXA
EPS (act/est)
0.82 / 0.51
Revenue (act/est)
5.18B / 5.16B
MURPHY USA INC
AMCMUSA
EPS (act/est)
7.53 / 6.91
Revenue (act/est)
4.74B / 4.95B
AFLAC INC
AMCAFL
EPS (act/est)
1.57 / 1.85
Revenue (act/est)
4.87B / 4.38B
AFLAC INC
AMCAFL
EPS (act/est)
1.57 / 1.71
Revenue (act/est)
4.87B / 4.35B
O'REILLY AUTOMOTIVE INC
AMCORLY
EPS (act/est)
0.71 / 0.74
Revenue (act/est)
4.41B / 4.48B
EVEREST GROUP LTD
AMCEG
EPS (act/est)
13.26 / 13.56
Revenue (act/est)
4.42B / 4.03B
EQUITABLE HOLDINGS INC
AMCEQH
EPS (act/est)
1.76 / 1.78
Revenue (act/est)
3.74B / 4.06B
MARKEL GROUP INC
AMCMKL
EPS (act/est)
34.45 / 25.99
Revenue (act/est)
3.80B / 3.98B
STANLEY BLACK & DECKER INC
BMOSWK
EPS (act/est)
1.41 / 1.29
Revenue (act/est)
3.68B / 3.82B
ADIENT PLC
BMOADNT
EPS (act/est)
0.35 / 0.23
Revenue (act/est)
3.64B / 3.59B
KELLANOVA
AMCK
EPS (act/est)
n/a / 0.90
Revenue (act/est)
n/a / 3.35B
CROWN HOLDINGS INC
AMCCCK
EPS (act/est)
1.74 / 1.72
Revenue (act/est)
3.13B / 3.02B
YUM CHINA HOLDINGS INC
BMOYUMC
EPS (act/est)
0.40 / 0.36
Revenue (act/est)
2.82B / 2.78B
UGI CORP
AMCUGI
EPS (act/est)
1.26 / 1.28
Revenue (act/est)
2.08B / 2.52B
YUM! BRANDS INC
BMOYUM
EPS (act/est)
1.73 / 1.79
Revenue (act/est)
2.51B / 2.48B
SKECHERS USA INC
AMCSKX
EPS (act/est)
n/a / 0.51
Revenue (act/est)
n/a / 2.38B
AVERY DENNISON CORP
BMOAVY
EPS (act/est)
2.45 / 2.42
Revenue (act/est)
2.27B / 2.31B
NOV INC
AMCNOV
EPS (act/est)
0.02 / 0.25
Revenue (act/est)
2.28B / 2.19B
T ROWE PRICE GROUP INC
BMOTROW
EPS (act/est)
2.44 / 2.52
Revenue (act/est)
1.93B / 1.97B
SNAP INC
AMCSNAP
EPS (act/est)
0.18 / 0.15
Revenue (act/est)
1.72B / 1.74B
COHERENT CORP
AMCCOHR
EPS (act/est)
1.29 / 1.23
Revenue (act/est)
1.69B / 1.67B
CME GROUP INC
BMOCME
EPS (act/est)
2.77 / 2.77
Revenue (act/est)
1.65B / 1.67B
GLOBE LIFE INC
AMCGL
EPS (act/est)
3.39 / 3.54
Revenue (act/est)
1.52B / 1.58B
DARLING INGREDIENTS INC
AMCDAR
EPS (act/est)
n/a / 0.33
Revenue (act/est)
n/a / 1.55B
EQUIFAX INC
BMOEFX
EPS (act/est)
2.09 / 2.07
Revenue (act/est)
1.55B / 1.54B
REGAL REXNORD CORP
AMCRRX
EPS (act/est)
2.51 / 2.50
Revenue (act/est)
1.52B / 1.55B
BROOKFIELD ASSET MANAGEMENT LTD
BMOBAM
EPS (act/est)
0.47 / 0.44
Revenue (act/est)
1.51B / 1.45B
STERIS PLC
AMCSTE
EPS (act/est)
2.53 / 2.56
Revenue (act/est)
1.50B / 1.50B
SILGAN HOLDINGS INC
BMOSLGN
EPS (act/est)
0.67 / 0.66
Revenue (act/est)
1.47B / 1.49B
JUNIPER NETWORKS INC
AMCJNPR
EPS (act/est)
n/a / 0.64
Revenue (act/est)
n/a / 1.47B
U-HAUL HOLDING CO
AMCUHAL
EPS (act/est)
-0.23 / -0.03
Revenue (act/est)
1.42B / 1.47B
STONEX GROUP INC
AMCSNEX
EPS (act/est)
2.50 / 2.02
Revenue (act/est)
1.44B / 631M
ENSIGN GROUP INC
AMCENSG
EPS (act/est)
1.82 / 1.80
Revenue (act/est)
1.36B / 1.39B
OLD DOMINION FREIGHT LINE INC
BMOODFL
EPS (act/est)
1.09 / 1.08
Revenue (act/est)
1.31B / 1.32B
EVERCORE INC
BMOEVR
EPS (act/est)
5.13 / 4.08
Revenue (act/est)
1.30B / 1.14B
CORPAY INC
AMCCPAY
EPS (act/est)
6.04 / 6.06
Revenue (act/est)
1.25B / 1.26B
FMC CORP
AMCFMC
EPS (act/est)
1.20 / 1.21
Revenue (act/est)
1.08B / 1.16B
FORTUNE BRANDS INNOVATIONS INC
AMCFBIN
EPS (act/est)
n/a / 1.02
Revenue (act/est)
n/a / 1.16B
PATTERSON-UTI ENERGY INC
AMCPTEN
EPS (act/est)
-0.02 / -0.12
Revenue (act/est)
1.15B / 1.13B
KEMPER CORP
AMCKMPR
EPS (act/est)
0.25 / 0.87
Revenue (act/est)
1.15B / 1.14B
FORTIVE CORP
BMOFTV
EPS (act/est)
0.90 / 0.85
Revenue (act/est)
1.12B / 1.10B
TIMKEN CO
BMOTKR
EPS (act/est)
1.14 / 1.10
Revenue (act/est)
1.11B / 1.08B
CROWN CASTLE INC
AMCCCI
EPS (act/est)
1.12 / 0.51
Revenue (act/est)
1.07B / 1.07B
ALIGN TECHNOLOGY INC
AMCALGN
EPS (act/est)
3.29 / 3.03
Revenue (act/est)
1.05B / 1.05B
REYNOLDS CONSUMER PRODUCTS INC
BMOREYN
EPS (act/est)
0.59 / 0.60
Revenue (act/est)
1.03B / 1.03B
ASGN INC
AMCASGN
EPS (act/est)
1.15 / 1.20
Revenue (act/est)
980M / 993M
ENERSYS
AMCENS
EPS (act/est)
2.77 / 2.75
Revenue (act/est)
919M / 941M
IDEX CORP
BMOIEX
EPS (act/est)
2.10 / 2.06
Revenue (act/est)
899M / 891M
ARES CAPITAL CORP
BMOARCC
EPS (act/est)
0.50 / 0.51
Revenue (act/est)
793M / 811M
MODINE MANUFACTURING CO
AMCMOD
EPS (act/est)
1.19 / 1.00
Revenue (act/est)
805M / 768M
NEW YORK TIMES CO
BMONYT
EPS (act/est)
0.89 / 0.88
Revenue (act/est)
802M / 799M
VISHAY INTERTECHNOLOGY INC
BMOVSH
EPS (act/est)
0.01 / 0.02
Revenue (act/est)
801M / 798M
MAGNERA CORP
n/aMAGN
EPS (act/est)
n/a / 0.11
Revenue (act/est)
n/a / 791M
STEWART INFORMATION SERVICES CORP
AMCSTC
EPS (act/est)
1.65 / 1.37
Revenue (act/est)
791M / 783M
TTM TECHNOLOGIES INC
AMCTTMI
EPS (act/est)
0.70 / 0.70
Revenue (act/est)
774M / 768M
AVALONBAY COMMUNITIES INC
AMCAVB
EPS (act/est)
2.85 / 1.36
Revenue (act/est)
768M / 774M
PC CONNECTION INC
AMCCNXN
EPS (act/est)
0.91 / 0.88
Revenue (act/est)
703M / 750M
BOOT BARN HOLDINGS INC
AMCBOOT
EPS (act/est)
2.79 / 2.82
Revenue (act/est)
706M / 719M
PTC INC
AMCPTC
EPS (act/est)
1.92 / 1.58
Revenue (act/est)
686M / 643M
WEX INC
AMCWEX
EPS (act/est)
4.11 / 3.96
Revenue (act/est)
673M / 668M
ALLEGIANT TRAVEL CO
AMCALGT
EPS (act/est)
2.86 / 2.00
Revenue (act/est)
656M / 657M
BLACK HILLS CORP
AMCBKH
EPS (act/est)
1.41 / 1.42
Revenue (act/est)
636M / 655M
CENTRAL GARDEN & PET CO
AMCCENT
EPS (act/est)
0.21 / 0.14
Revenue (act/est)
617M / 640M
SYMBOTIC INC
AMCSYM
EPS (act/est)
0.39 / 0.13
Revenue (act/est)
630M / 629M
EPLUS INC
AMCPLUS
EPS (act/est)
1.45 / 1.03
Revenue (act/est)
615M / 563M
MID-AMERICA APARTMENT COMMUNITIES INC
AMCMAA
EPS (act/est)
2.23 / 0.93
Revenue (act/est)
556M / 562M
RALLIANT CORP
AMCRAL
EPS (act/est)
0.69 / 0.66
Revenue (act/est)
555M / 551M
QIAGEN NV
AMCQGEN
EPS (act/est)
0.62 / 0.64
Revenue (act/est)
540M / 541M
STAR GROUP LP
AMCSGU
EPS (act/est)
0.89 / n/a
Revenue (act/est)
539M / n/a
KENNAMETAL INC
BMOKMT
EPS (act/est)
0.47 / 0.38
Revenue (act/est)
530M / 528M
ELF BEAUTY INC
AMCELF
EPS (act/est)
1.24 / 0.73
Revenue (act/est)
490M / 464M
MOELIS & CO
AMCMC
EPS (act/est)
1.13 / 0.84
Revenue (act/est)
488M / 450M
ESSEX PROPERTY TRUST INC
AMCESS
EPS (act/est)
3.98 / 1.49
Revenue (act/est)
480M / 479M
FLUENCE ENERGY INC
AMCFLNC
EPS (act/est)
-0.34 / -0.21
Revenue (act/est)
475M / 472M
VALVOLINE INC
BMOVVV
EPS (act/est)
0.37 / 0.33
Revenue (act/est)
462M / 467M
TRUEBLUE INC
AMCTBI
EPS (act/est)
n/a / -0.05
Revenue (act/est)
n/a / 417M
COMPASS MINERALS INTERNATIONAL INC
AMCCMP
EPS (act/est)
0.43 / 0.26
Revenue (act/est)
396M / 337M
EZCORP INC
AMCEZPW
EPS (act/est)
0.55 / 0.42
Revenue (act/est)
382M / 366M
VICTORY CAPITAL HOLDINGS INC
AMCVCTR
EPS (act/est)
1.78 / 1.67
Revenue (act/est)
374M / 380M
PHIBRO ANIMAL HEALTH CORP
AMCPAHC
EPS (act/est)
0.87 / 0.68
Revenue (act/est)
374M / 363M
KIMBALL ELECTRONICS INC
AMCKE
EPS (act/est)
0.28 / 0.26
Revenue (act/est)
341M / 349M
BLUE BIRD CORP
AMCBLBD
EPS (act/est)
1.00 / 0.83
Revenue (act/est)
333M / 332M
TRIUMPH GROUP INC
n/aTGI
EPS (act/est)
n/a / 0.27
Revenue (act/est)
n/a / 330M
WABASH NATIONAL CORP
BMOWNC
EPS (act/est)
-0.93 / -0.77
Revenue (act/est)
321M / 322M
OMEGA HEALTHCARE INVESTORS INC
AMCOHI
EPS (act/est)
0.80 / 0.49
Revenue (act/est)
319M / 312M
MUELLER WATER PRODUCTS INC
AMCMWA
EPS (act/est)
0.29 / 0.27
Revenue (act/est)
318M / 318M
LUCKY STRIKE ENTERTAINMENT CORP
AMCLUCK
EPS (act/est)
-0.11 / 0.04
Revenue (act/est)
307M / 318M
BIO-TECHNE CORP
BMOTECH
EPS (act/est)
0.46 / 0.44
Revenue (act/est)
296M / 296M
TENABLE HOLDINGS INC
AMCTENB
EPS (act/est)
0.48 / 0.42
Revenue (act/est)
261M / 257M
REXFORD INDUSTRIAL REALTY INC
AMCREXR
EPS (act/est)
0.59 / 0.23
Revenue (act/est)
248M / 254M
upcoming dates
tracked tickers
All companies above $250,000,000 in revenue.
1835 unique tickers in range.
Filtered for revenue above $250,000,000.