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There are 356 symbols in this channel.

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1 of 356

PayPal Holdings
PYPL
187.25 5.06 (2.8%)

Market Cap: 213.1 Billion

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NASDAQ: PYPL $207 Billion Large-Cap. Nasdaq 100. S&P 500. Financials Sector. Specialty Finance Industry. 5 Year Return 436%. 1 Year Return 75%. 2020 YTD Return 64%. Since Earnings 3%. Compare & Contrast AXP vs MA vs PYPL vs V.

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2 of 356

T-Mobile US
TMUS
112.02 1.47 (1.3%)

Market Cap: 140.7 Billion

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NASDAQ: TMUS $139 Billion Large-Cap. Nasdaq 100. S&P 500. Communications Sector. Telecom Industry. 5 Year Return 156%. 1 Year Return 37%. 2020 YTD Return 39%. 1.8% dividend yield. 9 total dividend payments. Since Earnings 1%.

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3 of 356

Shopify
SHOP
960.92 52.31 (5.8%)

Market Cap: 110.7 Billion

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NYSE: SHOP $109 Billion Large-Cap. Technology Sector. Software Industry. 5 Year Return 2,645%. 1 Year Return 211%. 2020 YTD Return 125%. Since Earnings 7%.

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4 of 356

Zoetis
ZTS
160.84 2.86 (1.8%)

Market Cap: 75.7 Billion

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NYSE: ZTS $76 Billion Large-Cap. S&P 500. Health Care Sector. Biotech & Pharma Industry. 5 Year Return 266%. 1 Year Return 27%. 2020 YTD Return 19%. 0.5% dividend yield. 30 total dividend payments. Since Earnings 1%.

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5 of 356

CVS Health
CVS
57.32 0.61 (1.1%)

Market Cap: 75.0 Billion

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NYSE: CVS $78 Billion Large-Cap. S&P 500. Consumer Staples Sector. Retail Consumer Staples Industry. 5 Year Return 42%. 1 Year Return 9%. 2020 YTD Return 23%. Negative 5 year, 1 year & YTD returns. 3.5% dividend yield. 139 total dividend payments. Since Earnings 12%. Compare & Contrast CVS vs WBA.

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6 of 356

Square
SQ
157.72 5.41 (3.6%)

Market Cap: 67.6 Billion

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NYSE: SQ $64 Billion Large-Cap. Technology Sector. Software Industry. 5 Year Return 1,045%. 1 Year Return 160%. 2020 YTD Return 134%. Since Earnings 9%.

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7 of 356

Equinix
EQIX
751.32 17.59 (2.4%)

Market Cap: 66.5 Billion

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NASDAQ: EQIX $67 Billion Large-Cap. S&P 500. XLRE Top Holding. Financials Sector. Real Estate Industry. 5 Year Return 161%. 1 Year Return 28%. 2020 YTD Return 26%. 1.5% dividend yield. 25 total dividend payments. Since Earnings 3%.

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8 of 356

Progressive
PGR
92.60 0.40 (0.4%)

Market Cap: 54.2 Billion

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NYSE: PGR $57 Billion Large-Cap. S&P 500. Financials Sector. Insurance Industry. 5 Year Return 198%. 1 Year Return 19%. 2020 YTD Return 23%. 0.4% dividend yield. 109 total dividend payments. Current Ex-Date in 12 days on Tue, Oct 6. Tue, Oct 6. Since Earnings 17%.

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9 of 356

Randgold Resources Limited
GOLD
29.75 16.08 (117.6%)

Market Cap: 52.9 Billion

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NASDAQ: GOLD $53 Billion Large-Cap. Materials Sector. Metals & Mining Industry. 5 Year Return 354%. 1 Year Return 0%. 2020 YTD Return 0%. 1.1% dividend yield. 89 total dividend payments. Since Earnings 118%.

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10 of 356

Global Payments
GPN
175.00 2.57 (1.5%)

Market Cap: 52.1 Billion

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NYSE: GPN $54 Billion Large-Cap. S&P 500. Financials Sector. Specialty Finance Industry. 5 Year Return 203%. 1 Year Return 9%. 2020 YTD Return 6%. 0.5% dividend yield. 78 total dividend payments. Since Earnings 2%.

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Symbol Price Day $Δ Day %Δ Market Cap Dividend Rate YTD %Δ 1Y %Δ 5Y %Δ
Symbol Price Day $Δ Day %Δ Market Cap Dividend Rate YTD %Δ 1Y %Δ 5Y %Δ

All Time Highs 0

Within the last 30 days

Symbol ATH Industry
Symbol ATH Industry

52 Week Highs 0

Within the last 30 days

Symbol 52WH Industry
Symbol 52WH Industry
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52 Week Lows 0

Within the last 30 days

Symbol 52WL Industry
Symbol 52WL Industry
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Earnings Dates 2

Within the last 30 days and next 7 days

Symbol Earnings Date Industry
MTRX 2020-09-02 Wed, Sep 2, 2020 Oil, Gas & Coal
PTON 2020-09-10 Thu, Sep 10, 2020 Leisure Products
Symbol Earnings Date Industry

Ex-Dates 39

Within the last 30 days and next 7 days

Symbol Ex-Date Industry
AVB 2020-09-29 Tue, Sep 29, 2020 Real Estate
BWA 2020-08-31 Mon, Aug 31, 2020 Automotive
ESS 2020-09-29 Tue, Sep 29, 2020 Real Estate
FRT 2020-09-21 Mon, Sep 21, 2020 Real Estate
GPN 2020-09-09 Wed, Sep 9, 2020 Specialty Finance
PXD 2020-09-29 Tue, Sep 29, 2020 Oil, Gas & Coal
WM 2020-09-03 Thu, Sep 3, 2020 Waste Management
AFIN 2020-09-04 Fri, Sep 4, 2020 REITs
ARES 2020-09-15 Tue, Sep 15, 2020 Asset Management
CSGS 2020-09-14 Mon, Sep 14, 2020 Software
CW 2020-09-30 Wed, Sep 30, 2020 Industrial Products
ESE 2020-09-30 Wed, Sep 30, 2020 Hardware
FCPT 2020-09-29 Tue, Sep 29, 2020 REITs
FNV 2020-09-09 Wed, Sep 9, 2020 Metals & Mining
GMRE 2020-09-23 Wed, Sep 23, 2020 REITs
GTY 2020-09-23 Wed, Sep 23, 2020 REITs
IIPR 2020-09-29 Tue, Sep 29, 2020 Real Estate
IRT 2020-10-01 Thu, Oct 1, 2020 REITs
KFRC 2020-09-10 Thu, Sep 10, 2020 Employment Services
KRG 2020-10-01 Thu, Oct 1, 2020 REITs
KRO 2020-08-31 Mon, Aug 31, 2020 Chemicals
KW 2020-09-29 Tue, Sep 29, 2020 Real Estate
MLR 2020-09-03 Thu, Sep 3, 2020 Automotive
MYE 2020-09-01 Tue, Sep 1, 2020 Automotive
NMFC 2020-09-15 Tue, Sep 15, 2020 Asset Management
OMI 2020-09-14 Mon, Sep 14, 2020 Medical Distribution
OSB 2020-08-31 Mon, Aug 31, 2020 Forest Products
RGLD 2020-10-01 Thu, Oct 1, 2020 Metals & Mining
RNR 2020-09-14 Mon, Sep 14, 2020 Insurance
SAFT 2020-08-31 Mon, Aug 31, 2020 Insurance
SJI 2020-09-09 Wed, Sep 9, 2020 Utility
SPR 2020-09-11 Fri, Sep 11, 2020 Aerospace & Defense
STFC 2020-09-16 Wed, Sep 16, 2020 Insurance
STNG 2020-09-08 Tue, Sep 8, 2020 Transportation & Logistics
TRNO 2020-10-01 Thu, Oct 1, 2020 REITs
TWO 2020-09-30 Wed, Sep 30, 2020 REITs
UFCS 2020-09-03 Thu, Sep 3, 2020 Insurance
WTS 2020-08-31 Mon, Aug 31, 2020 Industrial Products
WYND 2020-09-14 Mon, Sep 14, 2020 Travel & Leisure
Symbol Ex-Date Industry

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