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Re: Mr B post# 70

Wednesday, 05/06/2009 7:44:35 AM

Wednesday, May 06, 2009 7:44:35 AM

Post# of 190
CAR TABLE: Confirmed Earnings Expected Wednesday, May 6

Wednesday, May 06, 2009 06:30ET

http://www.knobias.com/story.htm?eid=3.1.f20bc3675435f948ccee71fd27caf5d801f2694cbeb9fea0c4e6dbc02463593d

The following companies are scheduled to report their quarterly earnings on Wednesday, May 6, 2009 according to a previous announcement:

SYMBOL COMPANY PERIOD WHEN EST/REVENUE EST/EPS
------ ------- ------ ---- ----------- -------
AAON AAON, Incorporated Q1 AMC $64.07M 0.35
ABD ACCO Brands Corporation Q1 BMO $312.20M -0.03
ACOR Acorda Therapeutics Inc Q1 BMO $12.98M -0.55
ACTS Actions Semiconductor Company, Limited Q1 AMC $8.60M -0.02
ADEP Adept Technology, Incorporated Q3 AMC n/a n/a
AEL Amer Equity Investment Life Holding Q1 AMC n/a 0.39
AEZS AEterna Zentaris, Incorporated Q1 BMO $11.94M -0.17
AFAM Almost Family Inc Q1 BMO $63.02M 0.60
AGU Agrium Inc. Q1 BMO $1,243.25M 0.29
ALJ Alon USA Energy, Incorporated Q1 AMC $950.21M 0.31
ALVR Alvarion Limited Q1 BMO $67.85M 0.00
ALY Allis-Chalmers Energy Inc Q1 BMO $151.10M 0.02
AMRI Albany Molecular Research Inc Q1 AMC $51.65M 0.01
ANLY Analysts International Corporation Q1 AMC n/a n/a
ANR Alpha Natural Resources, Inc. Q1 BMO $515.51M 0.48
APC Anadarko Petroleum Corporation Q1 AMC $1,583.73M -0.63
ARII American Railcar Industries, Incorporate Q1 AMC $114.47M 0.05
ATW Atwood Oceanics, Inc. Q2 AMC $139.03M 0.79
AUXL Auxilium Pharmaceuticals, Inc. Q1 BMO $36.18M -0.25
AVCA Advocat Inc Q1 AMC n/a n/a
BAS Basic Energy Services, Incorporated Q1 AMC $157.76M -0.22
BBBB Blackboard Inc Q1 AMC $85.24M 0.25
BBGI Beasley Broadcast Group CL A Q1 BMO n/a n/a
BGCP BGC Partners, Inc Q1 AMC $280.23M 0.13
BITI Bio-Imaging Tech Inc Q1 BMO $17.27M 0.05
BKD Brookdale Senior Living Incorporated Q1 AMC $495.21M -0.33
BOFI Bofi Holding, Incorporated Q3 DMH n/a n/a
BTN Ballantyne of Omaha Inc Q1 AMC n/a n/a
BVF Biovail Corp Q1 BMO $176.67M 0.30
BX Blackstone Group LP Q1 BMO $168.31M -0.10
BXC BlueLinx Holdings, Incorporated Q1 BMO $504.43M -0.43
BYD Boyd Gaming Corporation Q1 BMO $436.35M 0.08
CAMD California Micro Devices Corporation Q4 AMC $9.15M -0.13
CAR Avis Budget Group, Inc. Q1 AMC $1,232.00M -0.73
CBMX CombiMatrix Corp Q1 AMC $1.53M -0.67
CCRN Cross Country Healthcare Inc Q1 AMC $175.75M 0.09
CECO Career Education Corp Q1 AMC $445.77M 0.36
CENT Central Garden & Pet Company Q2 AMC $480.89M 0.31
CFL Brink's Home Security Holdings Inc Q1 BMO $138.08M 0.38
CGX Consolidated Graphics, Inc. Q4 BMO n/a 0.05
CHDN Churchill Downs Incorporated Q1 AMC $63.30M -0.59
CKSW ClickSoftware Technologies Ltd. Q1 BMO $12.91M 0.04
CLH Clean Harbors Inc Q1 BMO $233.14M 0.41
CLMT Calumet Specialty Products Partners LP Q1 BMO $532.40M 0.53
CLRT Clarient Inc Q1 AMC $22.48M -0.03
COGO Cogo Group, Inc. Q1 AMC $63.41M 0.12
CPA Copa Holdings, S.A. Class A Q1 AMC $310.67M 0.95
CRA Celera Corporation Q3 AMC n/a n/a
CRMH CRM Holdings Limited Q1 BMO $23.22M -0.11
CRXL Crucell NV ADS Q1 BMO n/a n/a
CSCO Cisco Systems Inc Q3 AMC $8,129.11M 0.25
CSPI CSP Inc. Q2 BMO n/a n/a
CSV Carriage Services, Inc. Q1 AMC $46.00M 0.12
CTB Cooper Tire & Rubber Company Q1 BMO $582.12M -0.53
CVI CVR Energy Inc Q1 BMO $533.04M 0.38
CVO Cenveo Inc Q1 AMC n/a -0.03
CXO Concho Resources Inc Q1 AMC $114.75M 0.16
DEG Delhaize Freres et Cie Le Lion SA ADS Q1 BMO $6,682.61M 1.52
DRRX Durect Corporation Q1 AMC $6.43M -0.09
DSX Diana Shipping, Incorporated Q1 BMO $61.37M 0.46
DTG Dollar Thrifty Automotive Group Inc Q1 BMO $367.60M -0.42
DVN Devon Energy Corporation Q1 BMO $1,835.63M 0.29
DXCM DexCom, Incorporated Q1 AMC $5.59M -0.32
EBIX Ebix Inc Q1 DMH n/a n/a
ECLP Eclipsys Corporation Q1 AMC $124.95M 0.08
ECTX ECtel Ltd Q1 BMO $5.60M -0.08
EDGW Edgewater Technology, Incorporated Q1 BMO $14.60M -0.01
EGLE Eagle Bulk Shipping, Incorporated Q1 AMC $54.71M 0.37
EIG Employers Holdings Inc Q1 AMC $131.14M 0.25
ELON Echelon Corporation Q1 AMC $17.72M -0.35
ELOY eLoyalty Corporation Q1 AMC $22.79M 0.03
ENB Enbridge, Incorporated Q1 BMO n/a n/a
ENOC EnerNOC Inc Q1 AMC $18.09M -0.72
ENSG Ensign Group Inc Q1 AMC $129.49M 0.38
EPR Entertainment Properties Trust Q1 AMC $73.41M 1.00
EQ Embarq Corp Q1 AMC $1,361.39M 1.28
EQY Equity One, Inc. Q1 AMC $60.27M 0.33
ES EnergySolutions Inc Q1 AMC $414.31M 0.09
EVC Entravision Communications Corporation Q1 AMC $42.70M -0.06
EXLS ExlService Holdings Inc Q1 BMO $41.32M 0.04
EXXI Energy XXI (Bermuda) Limited Q3 BMO $112.71M -0.10
FGXI FGX International Holdings Ltd Q1 AMC $60.82M 0.01
FIG Fortress Investment Group LLC Q1 BMO $100.00M -0.03
FIT Health Fitness Corporation Q1 AMC $19.10M 0.06
FPIC FPIC Insurance Group, Inc. Q1 AMC $40.87M 1.08
FRT Federal Realty Investment Trust Q1 AMC $130.10M 0.96
FWLT Foster Wheeler AG Q1 BMO $1,473.02M 0.69
GAIA Gaiam Incorporated Class A Q1 AMC $61.30M -0.02
GB Greatbatch Incorporated Q1 AMC $135.75M 0.36
GCA Global Cash Access Holdings, Incorporate Q1 AMC $170.37M 0.15
GCOM Globecomm Systems Inc Q3 AMC $42.92M 0.09
GDP Goodrich Petroleum Corporation Q1 AMC $50.73M -0.04
GEL Genesis Energy L.P. Q1 BMO $378.90M 0.17
GIB CGI Group, Incorporated Q2 BMO n/a n/a
GIVN Given Imaging Ltd ordinary shares Q1 AMC $30.83M 0.06
GLUU Glu Mobile Inc Q1 AMC $18.35M -0.05
GNCMA General Communication, Inc. Q1 AMC $149.34M -0.01
GPK Graphic Packaging Corporation Q1 AMC n/a n/a
GRMN Garmin Ltd Q1 BMO $530.67M 0.41
GSS Golden Star Resources LTD. Q1 AMC n/a 0.00
HEES H & E Equipment Services, Incorporated Q1 BMO $207.47M 0.06
HME Home Properties, Inc. Q1 AMC $117.02M 0.78
HT Hersha Hospitality Trust Q1 AMC $48.72M 0.06
HVT Haverty Furniture Companies, Inc. Q1 AMC $149.00M -0.19
HWK Hawk Corporation Q1 BMO $42.50M 0.04
IART Integra LifeSciences Holdings Corp Q1 BMO $166.78M 0.45
ID L-1 Identity Solutions Inc Q1 BMO $147.14M -0.05
IDCC InterDigital, Inc. Q1 AMC $71.04M -0.21
IHRI Interstate Hotels & Resorts, Inc. Q1 BMO $152.30M -0.10
INSP InfoSpace Incorporated Q1 AMC $38.61M 0.04
IO ION Geophysical Corp Q1 AMC $129.77M -0.06
IOSP Innospec Inc. Q1 AMC $148.50M 0.23
IRC Inland Real Estate Corporation Q1 BMO $44.96M 0.32
ISNS Image Sensing Systems Inc Q1 AMC n/a n/a
KAI Kadant, Incorporated Q1 AMC $63.54M 0.01
KGS Quicksilver Gas Services LP Q1 BMO $23.35M 0.31
KNDL Kendle International Inc. Q1 AMC $100.97M 0.23
KOOL ThermoGenesis Corp Q3 AMC $7.00M -0.02
LCRY LeCroy Corporation Q3 BMO $30.50M -0.02
LGCY Legacy Reserves LP Q1 AMC $45.63M 0.12
LGN Lodgian Inc Q1 BMO n/a -0.15
LGND Ligand Pharmaceuticals, Incorporated B Q1 AMC $5.60M -0.05
LHCG LHC Group, LLC Q1 AMC $114.79M 0.48
LINC Lincoln Educational Services Corporation Q1 BMO $112.25M 0.06
LL Lumber Liquidators Inc Q1 BMO $123.56M 0.18
LLNW Limelight Networks Inc Q1 AMC $32.72M -0.12
LOCM Local.com Corporation Q1 AMC $10.77M -0.10
LPSN LivePerson, Incorporated Q1 AMC $19.74M 0.04
MAKO MAKO Surgical Corp Q1 AMC $1.04M -0.43
MALL PC Mall, Incorporated Q1 AMC $256.28M 0.06
MBLX Metabolix Inc Q1 AMC $0.44M -0.43
MCHX Marchex Inc Cl B Q1 AMC $30.45M 0.05
MDH MHI Hospitality Corporation Q1 BMO $19.35M 0.11
MELI MercadoLibre Inc Q1 AMC $33.62M 0.10
MGA Magna International, Inc. Q1 BMO $3,903.32M -1.37
MGAM Multimedia Games Inc Q2 BMO $29.30M -0.08
MGRM Monogram Biosciences, Inc Q1 AMC $15.27M -0.23
MITI Micromet, Incorporated Q1 BMO $6.37M -0.14
MKL Markel Corporation Q1 BMO $559.22M 5.55
MLR Miller Industries, Incorporated Q1 AMC n/a n/a
MMC Marsh & McLennan Companies Inc Q1 BMO $2,949.43M 0.51
MMLP Martin Midstream Partners LP Q1 AMC $275.60M 0.53
MMP Magellan Midstream Partners LP Q1 BMO $319.49M 0.68
MMUS MakeMusic! Inc Q1 AMC n/a n/a
MRT Morton's Restaurant Group, Incorporated Q1 AMC $77.92M -0.07
MSSR McCormick & Schmick's Seafood Restaurant Q1 AMC $89.27M -0.07
MTEX Mannatech Inc Q1 AMC n/a n/a
MUR Murphy Oil Corporation Q1 AMC $4,670.40M 0.26
MVIS Microvision, Inc. Q1 AMC $1.47M -0.14
NABI Nabi Pharmaceuticals Q1 AMC $0.00M -0.07
NCST NUCRYST Pharmaceuticals Corporation Q1 BMO n/a n/a
NEOP Neoprobe Corporation Q1 AMC n/a n/a
NEWS NewStar Financial Inc Q1 BMO $28.00M 0.02
NKTR Nektar Therapeutics Q1 AMC $11.30M -0.42
NNBR NN, Inc Q1 BMO $58.70M -0.27
NRGP Inergy Holdings, LP Q2 BMO n/a n/a
NRGY Inergy L.P. Q2 BMO $679.17M 1.61
NSR NeuStar, Incorporated Q1 AMC $113.26M 0.29
NURO NeuroMetrix, Inc. Q1 BMO $7.59M -0.05
NVMI Nova Measuring Instruments, Ltd. Q1 BMO n/a n/a
OEH Orient Express Hotels Limited Q1 AMC $98.58M -0.13
OFIX Orthofix International N.V. Q1 AMC $129.15M 0.26
OGE OGE Energy Corp. Q1 BMO n/a 0.17
ONNN ON Semiconductor Corporation Q1 AMC $363.64M -0.07
ONXX ONYX Pharmaceuticals Inc Q1 AMC $53.89M 0.18
OSUR OraSure Technologies, Incorporated Q1 AMC $16.65M -0.07
OTEX Open Text Corporation Q3 AMC $207.10M 0.58
OWW Orbitz Worldwide Inc Q1 BMO $193.72M -0.02
PAA Plains All American Pipeline LP Q1 AMC $5,489.67M 0.84
PACR Pacer International Inc Q1 AMC $434.75M 0.08
PAET PAETEC Holdings Corp Q1 AMC $398.82M -0.04
PCG PG&E Corporation Q1 BMO $3,561.30M 0.72
PDII PDI, Incorporated Q1 AMC n/a n/a
PGTI PGT, Incorporated Q1 AMC $47.23M -0.04
PKD Parker Drilling Company Q1 BMO $156.71M 0.02
PLI Proliance International Incorporated Q1 BMO n/a n/a
PNNT PennantPark Investment Corp Q2 AMC $11.42M 0.25
PNS Pinnacle Data Systems Inc Q1 AMC n/a n/a
POL Polyone Corporation Q1 BMO n/a -0.02
POWL Powell Industries, Inc. Q2 BMO $178.02M 0.70
PPO Polypore International Inc Q1 AMC $126.05M 0.11
PRFT Perficient Inc Q1 BMO $49.61M 0.11
PRS Primus Guaranty Limited Q1 BMO n/a n/a
PRSC Providence Service Corp Q1 AMC $181.67M 0.28
PRU Prudential Financial, Incorporated Q1 AMC $6,482.92M 0.78
PRX Par Pharmaceutical Companies, Inc. Q1 BMO $170.23M 0.27
PRXI Premier Exhibitions Inc Q4 AMC $12.25M -0.08
PSTA Monterey Gourmet Foods, Inc. Q1 BMO n/a n/a
PWR Quanta Services, Inc. Q1 BMO $795.96M 0.12
QDHC Quadramed Corporation Q1 AMC n/a n/a
QLTY Quality Distribution, Inc. Q1 AMC $167.80M -0.06
RAS RAIT Investment Trust Q1 BMO $47.10M 0.19
RBC Regal Beloit Corporation Q1 AMC $441.47M 0.39
REG Regency Centers Corporation Q1 AMC $107.22M 0.77
REXX Rex Energy Corp Q1 BMO $12.35M -0.08
RHIE RHI Entertainment, Incorporated Q1 AMC $25.03M -0.41
RIG Transocean Inc Q1 BMO $3,089.31M 3.50
RLH Red Lion Hotels Corporation Q1 AMC $36.85M -0.20
RRD R.R. Donnelley & Sons Company Q1 BMO $2,473.55M 0.38
RSOL Real Goods Solar, Incorporated Shares- A Q1 AMC $9.73M -0.06
RWC RELM Wireless Corporation Q1 AMC $4.00M -0.03
SATC Satcon Technology Corporation Q1 AMC $16.98M -0.05
SBGI Sinclair Broadcast Group, Incorporated Q1 BMO $141.73M -0.06
SCI Service Corporation International Q1 AMC $514.90M 0.09
SCON Superconductor Technologies, Inc. Q1 BMO n/a n/a
SENO SenoRx Inc Q1 AMC $13.40M -0.01
SEP Spectra Energy Partners LP Q1 BMO $33.00M 0.34
SIRI Sirius XM Radio Inc. Q1 AMC $646.45M -0.03
SJW SJW Corporation Q1 AMC $42.16M 0.14
SKYW SkyWest Inc Q1 BMO $712.20M 0.11
SMP Standard Motor Products, Inc. Q1 BMO $186.18M -0.10
SMSI Smith Micro Software, Incorporated Q1 AMC $24.09M 0.12
SNCR Synchronoss Technologies, Incorporated Q1 AMC $28.70M 0.08
SNH Senior Housing Properties Trust Q1 BMO $66.23M 0.45
SNTS Santarus Inc Q1 AMC $33.38M -0.04
SPNC Spectranetics Corporation Q1 BMO $25.74M -0.05
STST ARGON ST Inc. Q2 BMO $98.03M 0.28
SUN Sunoco Inc Q1 AMC $12,770.36M 0.33
SUPX Supertex, Incorporated Q4 AMC $15.57M 0.14
SURW SureWest Communications Q1 AMC $59.87M 0.18
SVNT Savient Pharmaceuticals Inc Q1 AMC $0.57M -0.39
SYMC Symantec Corp Q4 AMC $1,521.58M 0.35
SYMM Symmetricom, Incorporated Q3 AMC $55.02M 0.08
TAL TAL International Group, Incorporated Q1 AMC $94.12M 0.36
TBSI TBS International, Limited Q1 AMC $49.67M -0.14
TDS Telephone & Data Systems, Incorporated Q1 BMO $1,256.76M 0.55
TDSC 3D Systems Corporation Q1 AMC $28.49M -0.05
TGH Textainer Group Holdings Ltd Q1 BMO $59.42M 0.40
THQI THQ Inc Q4 AMC $145.24M -0.32
TIXC Tix Corporation Q1 AMC n/a n/a
TRK Speedway Motorsports, Inc. Q1 BMO n/a 0.48
TRR TRC Companies, Inc. Q3 BMO n/a n/a
TRS TriMas Corp Q1 BMO $214.75M 0.05
TRW TRW Automotive Holdings Corporation Q1 BMO $2,302.45M -1.75
TTI Tetra Technologies, Inc. Q1 BMO $197.78M 0.09
UPL Ultra Petroleum Corporation Q1 BMO $235.38M 0.41
USU USEC, Inc. Q1 AMC $559.88M 0.09
VOLT Voltaire Ltd Q1 BMO $9.87M -0.18
WG Willbros Group, Inc. Q1 AMC $425.58M 0.39
WGA Wells-Gardner Electronics Corporation Q1 BMO n/a n/a
WNR Western Refining, Incorporated Q1 BMO $2,958.82M 0.84
WRES Warren Resources Inc Q1 BMO $12.25M -0.11
WTR Aqua America Inc Q1 BMO $164.89M 0.20
XJT ExpressJet Holdings, Incorporated Q1 BMO n/a n/a
XTO XTO Energy, Incorporated Q1 BMO $2,110.60M 0.76

BMO = Before Market Open
DMH = During Market Hours
AMC = After Market Close
UNK = Release Time Unknown

Consensus estimate data provided by Multex.com, Inc.
Visit Knobias.com for more indepth earnings information.

Public Companies Associated with this story:
AAON ABD ACOR ACTS ADEP
AEL AEZS AFAM AGU ALJ
ALVR ALY AMRI ANLY ANR
APC ARII ATW AUXL AVCA
BAS BBBB BBGI BGCP BITI
BKD BOFI BTN BVF BX
BXC BYD CAMD CAR CBMX
CCRN CECO CENT CFL CGX
CHDN CKSW CLH CLMT CLRT
COGO CPA CRA CRMH CRXL
CSCO CSPI CSV CTB CVI
CVO CXO DEG DRRX DSX
DTG DVN DXCM EBIX ECLP
ECTX EDGW EGLE EIG ELON
ELOY ENB ENOC ENSG EPR
EQ EQY ES EVC EXLS
EXXI FGXI FIG FIT FPIC
FRT FWLT GAIA GB GCA
GCOM GDP GEL GIB GIVN
GLUU GNCMA GPK GRMN GSS
HEES HME HT HVT HWK
IART ID IDCC IHRI INSP
IO IOSP IRC ISNS KAI
KGS KNDL KOOL LCRY LGCY
LGN LGND LHCG LINC LL
LLNW LOCM LPSN MAKO MALL
MBLX MCHX MDH MELI MGA
MGAM MGRM MITI MKL MLR
MMC MMLP MMP MMUS MRT
MSSR MTEX MUR MVIS NABI
NCST NEOP NEWS NKTR NNBR
NRGP NRGY NSR NURO NVMI
OEH OFIX OGE ONNN ONXX
OSUR OTEX OWW PAA PACR
PAET PCG PDII PGTI PKD
PLI PNNT PNS POL POWL
PPO PRFT PRS PRSC PRU
PRX PRXI PSTA PWR QDHC
QLTY RAS RBC REG REXX
RHIE RIG RLH RRD RSOL
RWC SATC SBGI SCI SCON
SENO SEP SIRI SJW SKYW
SMP SMSI SNCR SNH SNTS
SPNC STST SUN SUPX SURW
SVNT SYMC SYMM TAL TBSI
TDS TDSC TGH THQI TIXC
TRK TRR TRS TRW TTI
UPL USU VOLT WG WGA
WNR WRES WTR XJT XTO

Knobias Subject Codes Associated with this story:
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