Economic Reports Economic Forecasting

  • Stocks to avoid in 2016

    Oliver Pursche, Bruderman Brothers CEO, has an S&P 500 target at 2,200 for 2016.

  • Market seeking correction before year over: Mauldin

    John Mauldin, Mauldin Economics Chairman, expects a reasonable 15 to 20 percent correction sometime into year-end before the market goes higher again.

  • Four trades before the close

    Discussing the best trade in energy right now, including a debt play, with Robert Luna, Surevest Wealth Management.

  • BlackRock's 2016 strategy

    BlackRock's Michael Fredericks, discusses how the bond market is pricing in a rate hike, and the risk/reward in high yield into 2016.

  • 5%-6% earnings growth next year: Keith Banks

    Looking ahead to next year's market with the election, geopolitical environment and a potential rate hike in the mix, with Keith Banks, U.S. Trust President.

  • Next year's game plan

    What investments could work better next year, with Thomas Costerg, Standard Chartered Bank economist, and Gabriela Santos, JPMorgan Funds.

  • Setting up for big economic week

    Investors look to economic data out next week, with Jack Bouroudjian, Index Financial Partners; Jonathan Corpina, Meridian Equity Partners; and Steve Dudash, IHT Wealth Management.

  • Khodorkovsky warns Putin

    Russia's riches man says the Kremlin chief is leading the country toward stagnation. and eventually collapse.

  • Stock-pickers market: Pro

    Discussing the best investments into year-end, and ahead of the election year, with Nancy Tengler, Heartland Financial, and Noah Blackstein, Dynamic Funds.

  • Economy stubbornly slow: Pro

    Jonathan Golub, RBC Capital Markets chief U.S. market strategist, shares his market forecast for 2016.

  • Favorite market spots for your money

    Jeff Carbone, Cornerstone Financial, likes growth stock plays, and Mark Travis, Intrepid Capital, has two value names.

  • Fed minutes ahead

    Discussing economic data and global events the Federal Reserve is eyeing ahead of the December meeting, with James Pethokoukis, AEI Columnist & Economic analyst.

  • Investors resilient or complacent?

    Discussing what's on the minds of investors, with Lisa Shalett, Morgan Stanley Wealth Management, and Jim Dunigan, PNC Asset Management.

  • Pro sees further upside into 2016

    There is quite a bit of a run left in the major averages through next year, explains Steve Auth, Federated Investors; and Michael Cuggino, Permanent Portfolio Funds, weighs in on the power of the Fed.

  • Next week's big earnings

    Jeff Kilburg, KKM Financial, and Steve Massocca, Wedbush Equity Management, look ahead to what investors can expect from next week's earnings reports.

  • Friday's market view

    Discussing this week's trading, and what to expect from the Fed meeting next week, with Kenny Polcari, O'Neil Securities, and Peter Costa, Empire Executions.

  • October not so scary

    Discussing the potential market impact from a rate hike, and the S&P 500 on pace for its best month in 4 years, with Kristina Hooper, Allianz Global Investors, and James Dunigan, PNC Asset Management.

  • Are we heading into a global recession?

    Willem Buiter, global chief economist at Citi, expects global growth to fall by the end of next year, led by emerging markets such as China, Brazil and Russia.

  • Three sectors to like in Q4

    Looking ahead to markets in 2016, and which sectors are in a good position, with Richard Madigan, JPMorgan Private Bank.

  • September ends, Q4 preview

    Looking ahead to the fourth quarter, with Susan Fulton, FBB Capital Partners, and Robert Pavlik, Boston Private Wealth.