CNBC's Rick Santelli looks at the reaction in the Treasury market after the Fed left rates unchanged.
This is exactly what the market was expecting from the Federal Reserve, explains CNBC's Bob Pisani. The Fed left rates unchanged, but cut its rate hike forecasts. Scott Minerd, Guggenheim Partners CIO, says the Fed "violated the data dependent" rule.
CNBC’s Steve Liesman reports on a dovish Federal Reserve announcing it expects two rate hikes in 2016. Scott Minerd, Guggenheim Partners CIO, reacts to the statement.
CNBC's senior economics reporter Steve Liesman reports the Federal Reserve's decision on interest rates from the 2-day March meeting.
What's it like in the market as investors factor in Fed policy, with John Augustine, The Huntington Trust chief investment officer, and Eric Schoenstein, Jensen Quality Growth Fund co-portfolio manager.
The dollar is really the issue here to watch during the Federal Reserve announcement, explains Jim Caron, Morgan Stanley Investment Management senior fixed income portfolio manager.
Can investors still find value in this market? Chad Morganlander, Stifel portfolio manager, and Richard Weiss, American Century Investments, share their strategy.
As shares of Valeant Pharmaceuticals plummet, David Amsellem, Piper Jaffray & Co. managing director and senior research analyst, questions the floor for Valeant.
Matthew Cheslock, Trader at Virtu Financial, talks about what to look for in the last half hour of trading for the week.
Kenny Polcari of O'Neil Securities discusses what to watch in the last half hour of trading.
The Dow Transports Index is up 7.3 percent in the past month. Gene Peroni, Advisors Asset Management, and Brian Kelly, Brian Kelly Capital, look to the transports for signs about the market's next direction.
On the day of the bull market's 7th birthday, the FMHR traders discuss whether the bull market is over or has more room to run higher.
As recession fears slowly move off the table, Krishna Memani, Oppenheimer Funds CIO, and Bernie Williams, USAA Investment Solutions CIO, discuss standout sectors in the market rally.
Discussing his favorite picks in what he calls three areas of the markets, including defensive, growth and the unknowns, is Adam Parker, Morgan Stanley U.S. Chief Equity Strategist.
Anne Van Praagh, Moody's Sovereign Risk Group managing director, does not expect a hard landing in China, in discussing debt and growth in the country.
CNBC's Steve Liesman, and Steven Ricchiuto, Mizuho Securities USA chief economist, react to the Federal Reserve Beige Book.
The markets are reacting to strong car sales and construction spending and are looking towards the February jobs report, with CNBC's Steve Liesman.
Discussing vulnerabilities in the U.S. economy, and how to weather the risks out there in your portfolio, with Joe LaVorgna, Deutsche Bank chief U.S. economist. LaVorgna says the odds of a global recession are 35 percent-40 percent.
Insight to whether small caps have bottomed, and his favorite stock picks, with Brian Smoluch, Hood River Capital Management.
Is it time to sell this market? CNBC's senior markets commentator Michael Santoli; Jim Iuorio, TJM Institutional Services; and CNBC contributor Tim Seymour, discuss how to make money now.