Jim McCaughan, CEO of Principal Global Investors, says recovery in the U.S. private sector is well established, suggesting there's a 50:50 chance of the Fed tapering its stimulus program in December.» Read More
"We're better than we were last year -- in a sense that we're a year into the adjustment process -- but we're not all the way out of the woods yet in terms of lifting the burden of the aftermath of the financial crisis," says Peter Orszag, Citigroup Global Banking vice chairman and former OMB director.
Alec Young, Global Equity Strategist, S&P Capital IQ says upside to equity markets will moderate through year-end due to global macro risks.
Randall Kroszner, University of Chicago professor, weighs in on Friday's crucial jobs report and shares his top volatility strategies, including diversification beyond stocks and bonds.
CNBC's Scott Cohn reports $453 million, 7 cities and 108 people have been charged in an alleged Medicare fraud case.
CNBC's Mary Thompson reports on the details of the meeting between bank executives and the Fed.
The FMHR traders share their final trades of the hour.
Mort Zuckerman, Boston Properties chairman and CEO discusses the trade on REITs and his perspective on U.S. job growth.
The FMHR traders share their top three trades of the hour, including Nike trading at an all-time high on news that the company will open up their "Nike Platform" technology to developers.
The FMHR traders discuss how the markets are faring since disappointing jobs data. Robert Morris, Citigroup analyst and Dan Dicker, MercBloc president, also discuss the drama surrounding Chesapeake Energy's CEO Aubrey McClendon and the trade on natural gas.
CNBC's Bob Pisani and Art Cashin, of UBS, discuss why the ISM number could be a "bit of an outlier."
CNBC's Rick Santelli offers insight on floating rate notes and Europe's "future behavior."
Peter Schiff, CEO, Euro Pacific Capital says the U.S. economy is coming off a stimulus-induced high.
Put your money into large-cap, multi-national growth stocks, says Byron Wien, Blackstone Advisory Partners vice chairman, discussing his bullish outlook on the markets and why he is bearish on oil.
Discussing the depth of the euro zone recession, Mastercard and Visa's earnings and the state of jobs, with Scott Wren, Wells Fargo Advisors and Jeff Davis, Lee Munder Capital Group.
The Nasdaq and the S&P 500 are up double digits and the Dow is at a four-year high. Discussing where the market is headed, with Joseph Quinlan, U.S. Trust Bank of America Private Wealth Management chief market strategist and managing director and Dan Genter, RNC Genter Capital Management CEO & CIO.
Taking a technical look at the market rally, with Dan Wantrobski, Janney Capital Markets and Dan Greenhaus, BTIG.
Discussing the state of the U.S. economy and where the markets are headed long-term, with Scott Minerd, Guggenheim Partners CIO.
PIMCO's Bill Gross discusses bonds, the Federal Reserve and the banking industry, with CNBC's Brian Sullivan and Amanda Drury.
Discussing global investment strategies and whether the market can move higher despite concerns in Europe, with Jonathan Golub, UBS chief U.S. equity strategist.
Thousands of "Occupy Wall Street" protesters are taking to the streets across the world to protest austerity measures, with CNBC's Jackie DeAngelis.