Oliver Pursche, Bruderman Brothers CEO, has an S&P 500 target at 2,200 for 2016.
John Mauldin, Mauldin Economics Chairman, expects a reasonable 15 to 20 percent correction sometime into year-end before the market goes higher again.
Discussing the best trade in energy right now, including a debt play, with Robert Luna, Surevest Wealth Management.
BlackRock's Michael Fredericks, discusses how the bond market is pricing in a rate hike, and the risk/reward in high yield into 2016.
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.
What investments could work better next year, with Thomas Costerg, Standard Chartered Bank economist, and Gabriela Santos, JPMorgan Funds.
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.
Russia's riches man says the Kremlin chief is leading the country toward stagnation. and eventually collapse.
Discussing the best investments into year-end, and ahead of the election year, with Nancy Tengler, Heartland Financial, and Noah Blackstein, Dynamic Funds.
Jonathan Golub, RBC Capital Markets chief U.S. market strategist, shares his market forecast for 2016.
Jeff Carbone, Cornerstone Financial, likes growth stock plays, and Mark Travis, Intrepid Capital, has two value names.
Discussing economic data and global events the Federal Reserve is eyeing ahead of the December meeting, with James Pethokoukis, AEI Columnist & Economic analyst.
Discussing what's on the minds of investors, with Lisa Shalett, Morgan Stanley Wealth Management, and Jim Dunigan, PNC Asset Management.
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.
Jeff Kilburg, KKM Financial, and Steve Massocca, Wedbush Equity Management, look ahead to what investors can expect from next week's earnings reports.
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.
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.
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.
Looking ahead to markets in 2016, and which sectors are in a good position, with Richard Madigan, JPMorgan Private Bank.
Looking ahead to the fourth quarter, with Susan Fulton, FBB Capital Partners, and Robert Pavlik, Boston Private Wealth.