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2026-02-19
142 companies
| company | symbol | time | eps (act/est) | revenue (act/est) |
|---|---|---|---|---|
| ALIBABA GROUP HOLDING LTD | BABA | BMO | n/a / 12.71 | n/a / 296.81B |
| WALMART INC | WMT | BMO | 0.74 / 0.73 | 190.66B / 192.33B |
| VIPSHOP HOLDINGS LTD | VIPS | AMC | n/a / 5.53 | n/a / 34.06B |
| NETEASE INC | NTES | AMC | n/a / 14.76 | n/a / 29.19B |
| WORLD KINECT CORP | WKC | AMC | 0.30 / 0.47 | 9.03B / 9.50B |
| BILIBILI INC | BILI | AMC | n/a / 1.84 | n/a / 8.30B |
| DEERE & CO | DE | BMO | 2.42 / 2.11 | 8.00B / 7.92B |
| QUANTA SERVICES INC | PWR | BMO | 3.16 / 3.05 | 7.84B / 7.44B |
| SOUTHERN CO | SO | BMO | 0.55 / 0.59 | 6.98B / 6.68B |
| NEWMONT CORPORATION | NEM | AMC | 2.52 / 1.99 | 6.82B / 6.21B |
| BLOCK INC | XYZ | AMC | n/a / 0.70 | n/a / 6.35B |
| LIVE NATION ENTERTAINMENT INC | LYV | AMC | -1.06 / -1.02 | 6.31B / 6.17B |
| CHENIERE ENERGY INC | LNG | AMC | n/a / 3.99 | n/a / 5.54B |
| CONSTELLATION ENERGY CORP | CEG | AMC | n/a / 2.28 | n/a / 5.35B |
| AON PLC | AON | BMO | n/a / 6.48 | n/a / 5.07B |
| XP INC | XP | AMC | n/a / 2.61 | n/a / 4.92B |
| AMERICAN ELECTRIC POWER COMPANY INC | AEP | AMC | n/a / 1.16 | n/a / 4.91B |
| TARGA RESOURCES CORP | TRGP | BMO | 2.53 / 2.34 | 4.06B / 4.75B |
| INTUIT INC | INTU | AMC | n/a / 3.74 | n/a / 4.62B |
| KEURIG DR PEPPER INC | KDP | AMC | n/a / 0.59 | n/a / 4.40B |
| FIDELITY NATIONAL FINANCIAL INC | FNF | AMC | 1.41 / 1.51 | 4.05B / 3.73B |
| CONSOLIDATED EDISON INC | ED | AMC | 0.89 / 0.98 | 4.00B / 3.72B |
| BETTERWARE DE MEXICO SAPI DE CV | BWMX | AMC | n/a / 10.34 | n/a / 3.95B |
| ECHOSTAR CORP | SATS | BMO | n/a / -0.75 | n/a / 3.84B |
| RELIANCE INC | RS | AMC | n/a / 2.92 | n/a / 3.55B |
| BUILDERS FIRSTSOURCE INC | BLDR | BMO | n/a / 1.24 | n/a / 3.53B |
| WAYFAIR INC | W | BMO | 0.85 / 0.67 | 3.34B / 3.37B |
| LKQ CORP | LKQ | BMO | 0.59 / 0.66 | 3.31B / 3.29B |
| TECK RESOURCES LTD | TECK | BMO | 1.37 / 1.01 | 3.06B / 2.96B |
| CUSHMAN & WAKEFIELD LTD | CWK | BMO | 0.54 / 0.54 | 2.91B / 2.69B |
| COMFORT SYSTEMS USA INC | FIX | AMC | 9.37 / 6.82 | 2.65B / 2.36B |
| TECHNIPFMC PLC | FTI | BMO | 0.70 / 0.51 | 2.52B / 2.56B |
| CENTERPOINT ENERGY INC | CNP | BMO | 0.45 / 0.45 | 2.50B / 2.26B |
| F&G ANNUITIES & LIFE INC | FG | AMC | 0.91 / 1.24 | 2.30B / 1.59B |
| ROCKET COMPANIES INC | RKT | AMC | n/a / 0.08 | n/a / 2.26B |
| SPROUTS FARMERS MARKET INC | SFM | AMC | 0.92 / 0.90 | 2.15B / 2.17B |
| HERTZ GLOBAL HOLDINGS INC | HTZ | BMO | n/a / -0.52 | n/a / 2.02B |
| CONSTELLIUM SE | CSTM | AMC | n/a / 0.30 | n/a / 2.02B |
| COTERRA ENERGY INC | CTRA | AMC | n/a / 0.50 | n/a / 1.92B |
| VISTANCE NETWORKS INC | COMM | AMC | n/a / 0.45 | n/a / 1.55B |
| VISTANCE NETWORKS INC | VISN | AMC | n/a / 0.45 | n/a / 1.55B |
| PRIMO BRANDS CORP | PRMB | n/a | n/a / 0.21 | n/a / 1.54B |
| DOMINO'S PIZZA INC | DPZ | AMC | n/a / 5.44 | n/a / 1.54B |
| TEXAS ROADHOUSE INC | TXRH | AMC | 1.28 / 1.54 | 1.48B / 1.53B |
| OPTION CARE HEALTH INC | OPCH | BMO | n/a / 0.46 | n/a / 1.49B |
| EVERGY INC | EVRG | BMO | 0.42 / 0.58 | 1.34B / 1.46B |
| EPAM SYSTEMS INC | EPAM | BMO | 3.26 / 3.22 | 1.41B / 1.42B |
| SELECT MEDICAL HOLDINGS CORP | SEM | AMC | 0.16 / 0.23 | 1.40B / 1.38B |
| CHEMOURS CO | CC | AMC | 0.05 / 0.07 | 1.33B / 1.37B |
| UPBOUND GROUP INC | UPBD | BMO | 1.01 / 0.99 | 1.20B / 1.20B |
| EXP WORLD HOLDINGS INC | EXPI | AMC | n/a / -0.02 | n/a / 1.19B |
| COPART INC | CPRT | AMC | 0.36 / 0.40 | 1.12B / 1.17B |
| FLOOR & DECOR HOLDINGS INC | FND | AMC | 0.36 / 0.35 | 1.13B / 1.14B |
| RYERSON HOLDING CORP | RYI | AMC | -1.01 / -0.67 | 1.10B / 1.12B |
| AKAMAI TECHNOLOGIES INC | AKAM | AMC | 1.84 / 1.79 | 1.09B / 1.10B |
| KLARNA GROUP PLC | KLAR | BMO | -0.12 / -0.02 | 1.08B / 1.09B |
| ALLIANT ENERGY CORP | LNT | AMC | 0.60 / 0.59 | 1.06B / 724M |
| TRANSOCEAN LTD | RIG | BMO | 0.02 / 0.08 | 1.04B / 1.04B |
| CORE NATURAL RESOURCES INC | CNR | BMO | n/a / -0.10 | n/a / 1.03B |
| POOL CORP | POOL | BMO | 0.84 / 1.00 | 982M / 1.02B |
| ASTRANA HEALTH INC | ASTH | AMC | n/a / 0.11 | n/a / 949M |
| VISTEON CORP | VC | BMO | 2.96 / 2.14 | 948M / 946M |
| UNITI GROUP INC (DELAWARE) | UNIT | AMC | n/a / -0.29 | n/a / 938M |
| SENSATA TECHNOLOGIES HOLDING PLC | ST | AMC | 0.88 / 0.89 | 918M / 938M |
| TELEFLEX INC | TFX | AMC | n/a / 3.77 | n/a / 928M |
| FTI CONSULTING INC | FCN | AMC | n/a / 1.48 | n/a / 928M |
| GRAB HOLDINGS LTD | GRAB | AMC | n/a / 0.01 | n/a / 926M |
| ETSY INC | ETSY | BMO | 0.92 / 0.86 | 882M / 903M |
| GARRETT MOTION INC | GTX | BMO | 0.43 / 0.37 | 891M / 884M |
| ZSCALER INC | ZS | AMC | n/a / 0.93 | n/a / 823M |
| GLOBUS MEDICAL INC | GMED | AMC | n/a / 1.17 | n/a / 815M |
| NOMAD FOODS LTD | NOMD | AMC | n/a / 0.44 | n/a / 791M |
| UL SOLUTIONS INC | ULS | BMO | 0.53 / 0.45 | 789M / 790M |
| EXTRA SPACE STORAGE INC | EXR | AMC | 1.36 / 1.18 | 734M / 787M |
| STEVEN MADDEN LTD | SHOO | AMC | n/a / 0.48 | n/a / 768M |
| AMN HEALTHCARE SERVICES INC | AMN | AMC | 0.22 / 0.28 | 748M / 731M |
| OPENDOOR TECHNOLOGIES INC | OPEN | AMC | -1.26 / -0.10 | 736M / 606M |
| HAMILTON INSURANCE GROUP LTD | HG | AMC | 1.65 / 0.96 | 728M / n/a |
| ACCENDRA HEALTH INC | ACH | AMC | 0.21 / 0.22 | 709M / 722M |
| HNI CORP | HNI | AMC | n/a / 0.91 | n/a / 721M |
| FTAI AVIATION LTD | FTAI | AMC | n/a / 1.31 | n/a / 717M |
| AMERICOLD REALTY TRUST INC | COLD | BMO | -0.31 / 0.06 | 658M / 670M |
| ALIGHT INC | ALIT | BMO | 0.18 / 0.24 | 653M / 668M |
| SIRIUSPOINT LTD | SPNT | AMC | n/a / 0.52 | n/a / 658M |
| CENTURY ALUMINUM CO | CENX | AMC | 1.25 / 1.32 | 634M / 658M |
| SIX FLAGS ENTERTAINMENT CORP | FUN | BMO | -0.91 / -0.14 | 650M / 609M |
| RINGCENTRAL INC | RNG | AMC | 1.18 / 1.15 | 644M / 650M |
| PARK HOTELS & RESORTS INC | PK | AMC | -1.04 / 0.10 | 629M / 641M |
| DROPBOX INC | DBX | AMC | 0.68 / 0.68 | 636M / 635M |
| HOWARD HUGHES HOLDINGS INC | HHH | AMC | 0.10 / 0.04 | 624M / 620M |
| GLOBANT SA | GLOB | AMC | n/a / 1.57 | n/a / 618M |
| ENOVIS CORP | ENOV | AMC | n/a / 0.83 | n/a / 596M |
| YETI HOLDINGS INC | YETI | BMO | 0.92 / 0.90 | 584M / 594M |
| TXNM ENERGY INC | TXNM | AMC | n/a / 0.64 | n/a / 567M |
| WILLSCOT HOLDINGS CORP | WSC | AMC | -1.01 / 0.33 | 566M / 551M |
| GREEN DOT CORP | GDOT | AMC | n/a / -0.10 | n/a / 554M |
| TABOOLA.COM LTD | TBLA | AMC | n/a / 0.18 | n/a / 548M |
| TRINITY INDUSTRIES INC | TRN | BMO | n/a / 1.53 | n/a / 544M |
| LAUREATE EDUCATION INC | LAUR | BMO | 1.17 / 0.81 | 541M / 539M |
| ICU MEDICAL INC | ICUI | AMC | 1.91 / 1.73 | 536M / 541M |
| NORTHERN OIL AND GAS INC | NOG | AMC | n/a / 0.90 | n/a / 541M |
| IDACORP INC | IDA | BMO | 0.78 / 0.74 | 405M / 538M |
| VALARIS LTD | VAL | AMC | 10.26 / 0.63 | 537M / 497M |
| PEDIATRIX MEDICAL GROUP INC | MD | BMO | 0.50 / 0.56 | 494M / 501M |
| GATX CORP | GATX | BMO | 2.24 / 2.47 | 499M / 477M |
| WHEELS UP EXPERIENCE INC | UP | BMO | -0.02 / -1.73 | 184M / 487M |
| DRIVEN BRANDS HOLDINGS INC | DRVN | BMO | n/a / 0.28 | n/a / 485M |
| CASELLA WASTE SYSTEMS INC | CWST | AMC | 0.30 / 0.23 | 469M / 480M |
| INTEGER HOLDINGS CORP | ITGR | BMO | 1.76 / 1.73 | 472M / 472M |
| QUAKER CHEMICAL CORP | KWR | AMC | n/a / 1.79 | n/a / 471M |
| SAVERS VALUE VILLAGE INC | SVV | AMC | 0.15 / 0.15 | 465M / 469M |
| AMERICAN HOMES 4 RENT | AMH | AMC | 0.33 / 0.18 | 455M / 460M |
| EXPRO GROUP HOLDINGS NV | XPRO | BMO | 0.21 / 0.25 | 382M / 432M |
| GAMING AND LEISURE PROPERTIES INC | GLPI | AMC | 0.99 / 0.79 | 407M / 418M |
| ALAMO GROUP INC | ALG | AMC | n/a / 2.14 | n/a / 404M |
| CHOICE HOTELS INTERNATIONAL INC | CHH | BMO | 1.60 / 1.55 | 390M / 378M |
| ZETA GLOBAL HOLDINGS CORP | ZETA | AMC | n/a / 0.24 | n/a / 387M |
| BRADY CORP | BRC | BMO | 1.09 / 1.10 | 384M / 380M |
| GENTHERM INC | THRM | BMO | 0.49 / 0.59 | 383M / 379M |
| UNIVERSAL INSURANCE HOLDINGS INC | UVE | AMC | n/a / 1.31 | n/a / 377M |
| CABLE ONE INC | CABO | AMC | n/a / 6.78 | n/a / 376M |
| LANTHEUS HOLDINGS INC | LNTH | AMC | n/a / 1.19 | n/a / 375M |
| NAVIOS MARITIME PARTNERS LP | NMM | BMO | 3.40 / 2.15 | 366M / 319M |
| FOX FACTORY HOLDING CORP | FOXF | AMC | n/a / 0.15 | n/a / 361M |
| KRATOS DEFENSE AND SECURITY SOLUTIONS INC | KTOS | AMC | n/a / 0.16 | n/a / 334M |
| TELEPHONE AND DATA SYSTEMS INC | TDS | AMC | n/a / 0.08 | n/a / 325M |
| DT MIDSTREAM INC | DTM | BMO | 1.08 / 1.18 | 317M / 325M |
| TENNANT CO | TNC | BMO | n/a / 1.71 | n/a / 323M |
| MADRIGAL PHARMACEUTICALS INC | MDGL | BMO | -2.57 / -0.69 | 321M / 319M |
| REVOLVE GROUP INC | RVLV | AMC | n/a / 0.17 | n/a / 312M |
| FIVE9 INC | FIVN | AMC | 0.80 / 0.80 | 300M / 304M |
| MEDIAALPHA INC | MAX | AMC | n/a / 0.24 | n/a / 301M |
| METALLUS INC | MTUS | AMC | -0.18 / 0.04 | 267M / 294M |
| TANDEM DIABETES CARE INC | TNDM | AMC | -0.01 / -0.08 | 290M / 283M |
| CUBESMART | CUBE | AMC | n/a / 0.38 | n/a / 284M |
| PTC THERAPEUTICS INC | PTCT | AMC | -1.67 / 0.04 | 213M / 282M |
| GUARDANT HEALTH INC | GH | AMC | -1.00 / -0.72 | 281M / 279M |
| ONTO INNOVATION INC | ONTO | AMC | 1.26 / 1.31 | 267M / 272M |
| MEDICAL PROPERTIES TRUST INC | MPT | BMO | 0.03 / 0.01 | 270M / 243M |
| INSMED INC | INSM | BMO | -1.54 / -1.13 | 264M / 226M |
| ALARM.COM HOLDINGS INC | ALRM | AMC | 0.72 / 0.65 | 262M / 256M |
| DONEGAL GROUP INC | DGICA | BMO | n/a / 0.54 | n/a / 251M |
ALIBABA GROUP HOLDING LTD
BMOBABA
EPS (act/est)
n/a / 12.71
Revenue (act/est)
n/a / 296.81B
WALMART INC
BMOWMT
EPS (act/est)
0.74 / 0.73
Revenue (act/est)
190.66B / 192.33B
VIPSHOP HOLDINGS LTD
AMCVIPS
EPS (act/est)
n/a / 5.53
Revenue (act/est)
n/a / 34.06B
NETEASE INC
AMCNTES
EPS (act/est)
n/a / 14.76
Revenue (act/est)
n/a / 29.19B
WORLD KINECT CORP
AMCWKC
EPS (act/est)
0.30 / 0.47
Revenue (act/est)
9.03B / 9.50B
BILIBILI INC
AMCBILI
EPS (act/est)
n/a / 1.84
Revenue (act/est)
n/a / 8.30B
DEERE & CO
BMODE
EPS (act/est)
2.42 / 2.11
Revenue (act/est)
8.00B / 7.92B
QUANTA SERVICES INC
BMOPWR
EPS (act/est)
3.16 / 3.05
Revenue (act/est)
7.84B / 7.44B
SOUTHERN CO
BMOSO
EPS (act/est)
0.55 / 0.59
Revenue (act/est)
6.98B / 6.68B
NEWMONT CORPORATION
AMCNEM
EPS (act/est)
2.52 / 1.99
Revenue (act/est)
6.82B / 6.21B
BLOCK INC
AMCXYZ
EPS (act/est)
n/a / 0.70
Revenue (act/est)
n/a / 6.35B
LIVE NATION ENTERTAINMENT INC
AMCLYV
EPS (act/est)
-1.06 / -1.02
Revenue (act/est)
6.31B / 6.17B
CHENIERE ENERGY INC
AMCLNG
EPS (act/est)
n/a / 3.99
Revenue (act/est)
n/a / 5.54B
CONSTELLATION ENERGY CORP
AMCCEG
EPS (act/est)
n/a / 2.28
Revenue (act/est)
n/a / 5.35B
AON PLC
BMOAON
EPS (act/est)
n/a / 6.48
Revenue (act/est)
n/a / 5.07B
XP INC
AMCXP
EPS (act/est)
n/a / 2.61
Revenue (act/est)
n/a / 4.92B
AMERICAN ELECTRIC POWER COMPANY INC
AMCAEP
EPS (act/est)
n/a / 1.16
Revenue (act/est)
n/a / 4.91B
TARGA RESOURCES CORP
BMOTRGP
EPS (act/est)
2.53 / 2.34
Revenue (act/est)
4.06B / 4.75B
INTUIT INC
AMCINTU
EPS (act/est)
n/a / 3.74
Revenue (act/est)
n/a / 4.62B
KEURIG DR PEPPER INC
AMCKDP
EPS (act/est)
n/a / 0.59
Revenue (act/est)
n/a / 4.40B
FIDELITY NATIONAL FINANCIAL INC
AMCFNF
EPS (act/est)
1.41 / 1.51
Revenue (act/est)
4.05B / 3.73B
CONSOLIDATED EDISON INC
AMCED
EPS (act/est)
0.89 / 0.98
Revenue (act/est)
4.00B / 3.72B
BETTERWARE DE MEXICO SAPI DE CV
AMCBWMX
EPS (act/est)
n/a / 10.34
Revenue (act/est)
n/a / 3.95B
ECHOSTAR CORP
BMOSATS
EPS (act/est)
n/a / -0.75
Revenue (act/est)
n/a / 3.84B
RELIANCE INC
AMCRS
EPS (act/est)
n/a / 2.92
Revenue (act/est)
n/a / 3.55B
BUILDERS FIRSTSOURCE INC
BMOBLDR
EPS (act/est)
n/a / 1.24
Revenue (act/est)
n/a / 3.53B
WAYFAIR INC
BMOW
EPS (act/est)
0.85 / 0.67
Revenue (act/est)
3.34B / 3.37B
LKQ CORP
BMOLKQ
EPS (act/est)
0.59 / 0.66
Revenue (act/est)
3.31B / 3.29B
TECK RESOURCES LTD
BMOTECK
EPS (act/est)
1.37 / 1.01
Revenue (act/est)
3.06B / 2.96B
CUSHMAN & WAKEFIELD LTD
BMOCWK
EPS (act/est)
0.54 / 0.54
Revenue (act/est)
2.91B / 2.69B
COMFORT SYSTEMS USA INC
AMCFIX
EPS (act/est)
9.37 / 6.82
Revenue (act/est)
2.65B / 2.36B
TECHNIPFMC PLC
BMOFTI
EPS (act/est)
0.70 / 0.51
Revenue (act/est)
2.52B / 2.56B
CENTERPOINT ENERGY INC
BMOCNP
EPS (act/est)
0.45 / 0.45
Revenue (act/est)
2.50B / 2.26B
F&G ANNUITIES & LIFE INC
AMCFG
EPS (act/est)
0.91 / 1.24
Revenue (act/est)
2.30B / 1.59B
ROCKET COMPANIES INC
AMCRKT
EPS (act/est)
n/a / 0.08
Revenue (act/est)
n/a / 2.26B
SPROUTS FARMERS MARKET INC
AMCSFM
EPS (act/est)
0.92 / 0.90
Revenue (act/est)
2.15B / 2.17B
HERTZ GLOBAL HOLDINGS INC
BMOHTZ
EPS (act/est)
n/a / -0.52
Revenue (act/est)
n/a / 2.02B
CONSTELLIUM SE
AMCCSTM
EPS (act/est)
n/a / 0.30
Revenue (act/est)
n/a / 2.02B
COTERRA ENERGY INC
AMCCTRA
EPS (act/est)
n/a / 0.50
Revenue (act/est)
n/a / 1.92B
VISTANCE NETWORKS INC
AMCCOMM
EPS (act/est)
n/a / 0.45
Revenue (act/est)
n/a / 1.55B
VISTANCE NETWORKS INC
AMCVISN
EPS (act/est)
n/a / 0.45
Revenue (act/est)
n/a / 1.55B
PRIMO BRANDS CORP
n/aPRMB
EPS (act/est)
n/a / 0.21
Revenue (act/est)
n/a / 1.54B
DOMINO'S PIZZA INC
AMCDPZ
EPS (act/est)
n/a / 5.44
Revenue (act/est)
n/a / 1.54B
TEXAS ROADHOUSE INC
AMCTXRH
EPS (act/est)
1.28 / 1.54
Revenue (act/est)
1.48B / 1.53B
OPTION CARE HEALTH INC
BMOOPCH
EPS (act/est)
n/a / 0.46
Revenue (act/est)
n/a / 1.49B
EVERGY INC
BMOEVRG
EPS (act/est)
0.42 / 0.58
Revenue (act/est)
1.34B / 1.46B
EPAM SYSTEMS INC
BMOEPAM
EPS (act/est)
3.26 / 3.22
Revenue (act/est)
1.41B / 1.42B
SELECT MEDICAL HOLDINGS CORP
AMCSEM
EPS (act/est)
0.16 / 0.23
Revenue (act/est)
1.40B / 1.38B
CHEMOURS CO
AMCCC
EPS (act/est)
0.05 / 0.07
Revenue (act/est)
1.33B / 1.37B
UPBOUND GROUP INC
BMOUPBD
EPS (act/est)
1.01 / 0.99
Revenue (act/est)
1.20B / 1.20B
EXP WORLD HOLDINGS INC
AMCEXPI
EPS (act/est)
n/a / -0.02
Revenue (act/est)
n/a / 1.19B
COPART INC
AMCCPRT
EPS (act/est)
0.36 / 0.40
Revenue (act/est)
1.12B / 1.17B
FLOOR & DECOR HOLDINGS INC
AMCFND
EPS (act/est)
0.36 / 0.35
Revenue (act/est)
1.13B / 1.14B
RYERSON HOLDING CORP
AMCRYI
EPS (act/est)
-1.01 / -0.67
Revenue (act/est)
1.10B / 1.12B
AKAMAI TECHNOLOGIES INC
AMCAKAM
EPS (act/est)
1.84 / 1.79
Revenue (act/est)
1.09B / 1.10B
KLARNA GROUP PLC
BMOKLAR
EPS (act/est)
-0.12 / -0.02
Revenue (act/est)
1.08B / 1.09B
ALLIANT ENERGY CORP
AMCLNT
EPS (act/est)
0.60 / 0.59
Revenue (act/est)
1.06B / 724M
TRANSOCEAN LTD
BMORIG
EPS (act/est)
0.02 / 0.08
Revenue (act/est)
1.04B / 1.04B
CORE NATURAL RESOURCES INC
BMOCNR
EPS (act/est)
n/a / -0.10
Revenue (act/est)
n/a / 1.03B
POOL CORP
BMOPOOL
EPS (act/est)
0.84 / 1.00
Revenue (act/est)
982M / 1.02B
ASTRANA HEALTH INC
AMCASTH
EPS (act/est)
n/a / 0.11
Revenue (act/est)
n/a / 949M
VISTEON CORP
BMOVC
EPS (act/est)
2.96 / 2.14
Revenue (act/est)
948M / 946M
UNITI GROUP INC (DELAWARE)
AMCUNIT
EPS (act/est)
n/a / -0.29
Revenue (act/est)
n/a / 938M
SENSATA TECHNOLOGIES HOLDING PLC
AMCST
EPS (act/est)
0.88 / 0.89
Revenue (act/est)
918M / 938M
TELEFLEX INC
AMCTFX
EPS (act/est)
n/a / 3.77
Revenue (act/est)
n/a / 928M
FTI CONSULTING INC
AMCFCN
EPS (act/est)
n/a / 1.48
Revenue (act/est)
n/a / 928M
GRAB HOLDINGS LTD
AMCGRAB
EPS (act/est)
n/a / 0.01
Revenue (act/est)
n/a / 926M
ETSY INC
BMOETSY
EPS (act/est)
0.92 / 0.86
Revenue (act/est)
882M / 903M
GARRETT MOTION INC
BMOGTX
EPS (act/est)
0.43 / 0.37
Revenue (act/est)
891M / 884M
ZSCALER INC
AMCZS
EPS (act/est)
n/a / 0.93
Revenue (act/est)
n/a / 823M
GLOBUS MEDICAL INC
AMCGMED
EPS (act/est)
n/a / 1.17
Revenue (act/est)
n/a / 815M
NOMAD FOODS LTD
AMCNOMD
EPS (act/est)
n/a / 0.44
Revenue (act/est)
n/a / 791M
UL SOLUTIONS INC
BMOULS
EPS (act/est)
0.53 / 0.45
Revenue (act/est)
789M / 790M
EXTRA SPACE STORAGE INC
AMCEXR
EPS (act/est)
1.36 / 1.18
Revenue (act/est)
734M / 787M
STEVEN MADDEN LTD
AMCSHOO
EPS (act/est)
n/a / 0.48
Revenue (act/est)
n/a / 768M
AMN HEALTHCARE SERVICES INC
AMCAMN
EPS (act/est)
0.22 / 0.28
Revenue (act/est)
748M / 731M
OPENDOOR TECHNOLOGIES INC
AMCOPEN
EPS (act/est)
-1.26 / -0.10
Revenue (act/est)
736M / 606M
HAMILTON INSURANCE GROUP LTD
AMCHG
EPS (act/est)
1.65 / 0.96
Revenue (act/est)
728M / n/a
ACCENDRA HEALTH INC
AMCACH
EPS (act/est)
0.21 / 0.22
Revenue (act/est)
709M / 722M
HNI CORP
AMCHNI
EPS (act/est)
n/a / 0.91
Revenue (act/est)
n/a / 721M
FTAI AVIATION LTD
AMCFTAI
EPS (act/est)
n/a / 1.31
Revenue (act/est)
n/a / 717M
AMERICOLD REALTY TRUST INC
BMOCOLD
EPS (act/est)
-0.31 / 0.06
Revenue (act/est)
658M / 670M
ALIGHT INC
BMOALIT
EPS (act/est)
0.18 / 0.24
Revenue (act/est)
653M / 668M
SIRIUSPOINT LTD
AMCSPNT
EPS (act/est)
n/a / 0.52
Revenue (act/est)
n/a / 658M
CENTURY ALUMINUM CO
AMCCENX
EPS (act/est)
1.25 / 1.32
Revenue (act/est)
634M / 658M
SIX FLAGS ENTERTAINMENT CORP
BMOFUN
EPS (act/est)
-0.91 / -0.14
Revenue (act/est)
650M / 609M
RINGCENTRAL INC
AMCRNG
EPS (act/est)
1.18 / 1.15
Revenue (act/est)
644M / 650M
PARK HOTELS & RESORTS INC
AMCPK
EPS (act/est)
-1.04 / 0.10
Revenue (act/est)
629M / 641M
DROPBOX INC
AMCDBX
EPS (act/est)
0.68 / 0.68
Revenue (act/est)
636M / 635M
HOWARD HUGHES HOLDINGS INC
AMCHHH
EPS (act/est)
0.10 / 0.04
Revenue (act/est)
624M / 620M
GLOBANT SA
AMCGLOB
EPS (act/est)
n/a / 1.57
Revenue (act/est)
n/a / 618M
ENOVIS CORP
AMCENOV
EPS (act/est)
n/a / 0.83
Revenue (act/est)
n/a / 596M
YETI HOLDINGS INC
BMOYETI
EPS (act/est)
0.92 / 0.90
Revenue (act/est)
584M / 594M
TXNM ENERGY INC
AMCTXNM
EPS (act/est)
n/a / 0.64
Revenue (act/est)
n/a / 567M
WILLSCOT HOLDINGS CORP
AMCWSC
EPS (act/est)
-1.01 / 0.33
Revenue (act/est)
566M / 551M
GREEN DOT CORP
AMCGDOT
EPS (act/est)
n/a / -0.10
Revenue (act/est)
n/a / 554M
TABOOLA.COM LTD
AMCTBLA
EPS (act/est)
n/a / 0.18
Revenue (act/est)
n/a / 548M
TRINITY INDUSTRIES INC
BMOTRN
EPS (act/est)
n/a / 1.53
Revenue (act/est)
n/a / 544M
LAUREATE EDUCATION INC
BMOLAUR
EPS (act/est)
1.17 / 0.81
Revenue (act/est)
541M / 539M
ICU MEDICAL INC
AMCICUI
EPS (act/est)
1.91 / 1.73
Revenue (act/est)
536M / 541M
NORTHERN OIL AND GAS INC
AMCNOG
EPS (act/est)
n/a / 0.90
Revenue (act/est)
n/a / 541M
IDACORP INC
BMOIDA
EPS (act/est)
0.78 / 0.74
Revenue (act/est)
405M / 538M
VALARIS LTD
AMCVAL
EPS (act/est)
10.26 / 0.63
Revenue (act/est)
537M / 497M
PEDIATRIX MEDICAL GROUP INC
BMOMD
EPS (act/est)
0.50 / 0.56
Revenue (act/est)
494M / 501M
GATX CORP
BMOGATX
EPS (act/est)
2.24 / 2.47
Revenue (act/est)
499M / 477M
WHEELS UP EXPERIENCE INC
BMOUP
EPS (act/est)
-0.02 / -1.73
Revenue (act/est)
184M / 487M
DRIVEN BRANDS HOLDINGS INC
BMODRVN
EPS (act/est)
n/a / 0.28
Revenue (act/est)
n/a / 485M
CASELLA WASTE SYSTEMS INC
AMCCWST
EPS (act/est)
0.30 / 0.23
Revenue (act/est)
469M / 480M
INTEGER HOLDINGS CORP
BMOITGR
EPS (act/est)
1.76 / 1.73
Revenue (act/est)
472M / 472M
QUAKER CHEMICAL CORP
AMCKWR
EPS (act/est)
n/a / 1.79
Revenue (act/est)
n/a / 471M
SAVERS VALUE VILLAGE INC
AMCSVV
EPS (act/est)
0.15 / 0.15
Revenue (act/est)
465M / 469M
AMERICAN HOMES 4 RENT
AMCAMH
EPS (act/est)
0.33 / 0.18
Revenue (act/est)
455M / 460M
EXPRO GROUP HOLDINGS NV
BMOXPRO
EPS (act/est)
0.21 / 0.25
Revenue (act/est)
382M / 432M
GAMING AND LEISURE PROPERTIES INC
AMCGLPI
EPS (act/est)
0.99 / 0.79
Revenue (act/est)
407M / 418M
ALAMO GROUP INC
AMCALG
EPS (act/est)
n/a / 2.14
Revenue (act/est)
n/a / 404M
CHOICE HOTELS INTERNATIONAL INC
BMOCHH
EPS (act/est)
1.60 / 1.55
Revenue (act/est)
390M / 378M
ZETA GLOBAL HOLDINGS CORP
AMCZETA
EPS (act/est)
n/a / 0.24
Revenue (act/est)
n/a / 387M
BRADY CORP
BMOBRC
EPS (act/est)
1.09 / 1.10
Revenue (act/est)
384M / 380M
GENTHERM INC
BMOTHRM
EPS (act/est)
0.49 / 0.59
Revenue (act/est)
383M / 379M
UNIVERSAL INSURANCE HOLDINGS INC
AMCUVE
EPS (act/est)
n/a / 1.31
Revenue (act/est)
n/a / 377M
CABLE ONE INC
AMCCABO
EPS (act/est)
n/a / 6.78
Revenue (act/est)
n/a / 376M
LANTHEUS HOLDINGS INC
AMCLNTH
EPS (act/est)
n/a / 1.19
Revenue (act/est)
n/a / 375M
NAVIOS MARITIME PARTNERS LP
BMONMM
EPS (act/est)
3.40 / 2.15
Revenue (act/est)
366M / 319M
FOX FACTORY HOLDING CORP
AMCFOXF
EPS (act/est)
n/a / 0.15
Revenue (act/est)
n/a / 361M
KRATOS DEFENSE AND SECURITY SOLUTIONS INC
AMCKTOS
EPS (act/est)
n/a / 0.16
Revenue (act/est)
n/a / 334M
TELEPHONE AND DATA SYSTEMS INC
AMCTDS
EPS (act/est)
n/a / 0.08
Revenue (act/est)
n/a / 325M
DT MIDSTREAM INC
BMODTM
EPS (act/est)
1.08 / 1.18
Revenue (act/est)
317M / 325M
TENNANT CO
BMOTNC
EPS (act/est)
n/a / 1.71
Revenue (act/est)
n/a / 323M
MADRIGAL PHARMACEUTICALS INC
BMOMDGL
EPS (act/est)
-2.57 / -0.69
Revenue (act/est)
321M / 319M
REVOLVE GROUP INC
AMCRVLV
EPS (act/est)
n/a / 0.17
Revenue (act/est)
n/a / 312M
FIVE9 INC
AMCFIVN
EPS (act/est)
0.80 / 0.80
Revenue (act/est)
300M / 304M
MEDIAALPHA INC
AMCMAX
EPS (act/est)
n/a / 0.24
Revenue (act/est)
n/a / 301M
METALLUS INC
AMCMTUS
EPS (act/est)
-0.18 / 0.04
Revenue (act/est)
267M / 294M
TANDEM DIABETES CARE INC
AMCTNDM
EPS (act/est)
-0.01 / -0.08
Revenue (act/est)
290M / 283M
CUBESMART
AMCCUBE
EPS (act/est)
n/a / 0.38
Revenue (act/est)
n/a / 284M
PTC THERAPEUTICS INC
AMCPTCT
EPS (act/est)
-1.67 / 0.04
Revenue (act/est)
213M / 282M
GUARDANT HEALTH INC
AMCGH
EPS (act/est)
-1.00 / -0.72
Revenue (act/est)
281M / 279M
ONTO INNOVATION INC
AMCONTO
EPS (act/est)
1.26 / 1.31
Revenue (act/est)
267M / 272M
MEDICAL PROPERTIES TRUST INC
BMOMPT
EPS (act/est)
0.03 / 0.01
Revenue (act/est)
270M / 243M
INSMED INC
BMOINSM
EPS (act/est)
-1.54 / -1.13
Revenue (act/est)
264M / 226M
ALARM.COM HOLDINGS INC
AMCALRM
EPS (act/est)
0.72 / 0.65
Revenue (act/est)
262M / 256M
DONEGAL GROUP INC
BMODGICA
EPS (act/est)
n/a / 0.54
Revenue (act/est)
n/a / 251M
upcoming dates
tracked tickers
All companies above $250,000,000 in revenue.
1835 unique tickers in range.
Filtered for revenue above $250,000,000.