Michael Bell, global market strategist at JPMorgan Asset Management, compares the merits of buying equities in the U.S., where the Fed is likely to raise interest rates, against buying European stocks, where the ECB's monetary easing should boost share prices.» Read More
Bob McKee, chief economist at Independent Strategy, thinks Greece will introduce capital controls. he discusses the possibility of Greece exiting the EU.
Bob McKee, chief economist at Independent Strategy, talks about the prospects for growth in the U.K. economy and possible solutions to the productivity puzzle.
Tony Prestedge, chief operating officer of Nationwide, discusses Apply Pay, which comes to the U.K. in July, and why banks are supporting it.
Jan Hatzius, chief economist of Goldman Sachs, discusses the impact tapering quantitative easing will have on markets.
European equities closed lower on Tuesday, in the wake of declines in U.S. and Asian markets, with HSBC's announcement of major restructuring efforts a key focus for markets.
Paolo Pescatore, director of multiplay and media at CCS Insight, discusses the competition between BT and Sky over the rights to broadcast Premier League football.
Ian Gordon, head of bank research at Investec, discusses the future of HSBC after it announced job cuts and that it is closing its operations in Turkey and Brazil.
Andrew Parry, head of equities at Hermes Investment Management, talks about European equities and the global economy. Europe's labor market is showing positive signs.
Peter Oppenheimer, chief global equity strategist for Goldman Sachs, discusses bond markets, stock yields and dividends.
Dr. Burak Arzova, professor at Marmara University, discusses the results of the Turkish elections and the prospects for a coalition.
Charles Plosser, former president of the Federal Reserve Bank of Philadelphia, shares his opinion on the International Monetary Fund, the U.S. economy and the ECB.
European equities closed lower on Monday as geopolitical tensions continue to rattle sentiment, while shares in Deutsche Bank surged after co-CEOs of the bank said they intended to resign.
Anders Fogh Rasmussen, founder and chairman of Rasmussen Global, talks about Russia and the conflict in Ukraine.
Bjarni Benediktsson, finance minister for Iceland, tells CNBC about the country's decision to lift capital controls which were imposed in 2008.
Huw Pill, chief European economist at Goldman Sachs, discusses Greece, Europe and the prospects for bonds.
Yacine Kanoun, portfolio manager at PivotHunters, explains what happened to the Bund in the past week and what impact it will have on other bonds and equities.
European equities closed largely lower Friday, after investors reacted to better-than-expected economic data from the U.S.
Bill O'Neill, head of the U.K. investment office at UBS Wealth Management, discusses how Ireland's economy has improved.
Neil Atkinson, head of analysis at Lloyd's List Intelligence, discusses OPEC's decision to maintain oil production levels.
Bill O'Neill, head of the U.K. investment office at UBS Wealth Management, estimates the chances of a Greek debt default.