Discussing if investors are going to see a big market correction in September, with Tom McClellan of The McClellan Market Report.» Read More
CNBC's Mary Thompson and Rick Santelli discuss where the markets are headed in the next quarter.
Sharing perspective on what investors should expect from the markets in Q2, with Gordon Charlop, Rosenblatt Securities, Anthony Grisanti, GRZ Energy, and Jeff Kilburg, Treasury Curve.
Sharing perspective on whether investors should take a second look at some of the top performers of Q1, with Mike Murphy, Rosecliff Capital managing partner/CEO.
Abigail Doolittle, Peak Theories Research LLC, discusses whether natural gas could dip further and shares her outlook on natural gas stocks.
Mad Money's Jim Cramer answers viewer "tweets" on whether transports will continue to rally.
Richard Ross, Auerbach Grayson, explains what the charts say about homebuilders.
John Kosar, Asbury Research, explains whether the markets will face some resistance later this year.
A currency trade on the Canadian dollar/Japanese yen, with Rebecca Patterson, JPMorgan Asset Management.
Stocks are rallying into the close, but Jordan Kotick, of Barclays Capital, says investors should be concerned about some bear signals.
Lionsgate stock has doubled in the past five months. Will the "Hunger Games" franchise power the stock even higher? Mark Newton, Greywolf Execution Partners, weighs in.
Ryan Detrick, Schaeffer's Investment Research, and Russ Koesterich, BlackRock iShares Group, discuss the trading week, and the market's overall performance in 2012.
J.C. O'Hara, Phoenix Partners Group, takes a look at what the charts say about the S&P and Nasdaq.
Wasif Latif, USAA, and Rich Lake, Lake Partners, discuss investors' attitude about the markets, and how to play low volatility.
The Fast Money traders weigh in on buying protection on long positions and discussing whether the 2012 rally is cooling off, and how to trade a slowdown in global growth. Also, Michael Harris, Campbell & Company, checks the charts on the S&P uptrend and the direction of equities and oil.
Nike reports earnings after the bell today. Should investors get in on the stock now? Barry Sine, Drexel Hamilton, and Paul Swinand, Morningstar, discuss.
If Goldman Sachs is correct on their bold call to buy into equities, where are the buying opportunities? Advice for investors, with Henry Herrmann, Waddell & Reed Financial and Erik Ristuben, Russell Investments.
Insight on why Kevin Sterling, BB&T transportation analyst, has upped his price target on FedEx from $95 to $110 ahead of the shipping company's Q3 earnings release tomorrow.
Treasury Secretary Tim Geithner says the economy is still suffering from collateral damage from the housing crisis.
Looking ahead to 2050, Carl McDonald, Citi health care analyst, shares insight on how cost could change, which companies will benefit, and ways in which Medicare and Medicaid could develop.
Discussing HP's shakeup and sharing advice for investors on positioning their portfolios, with Keith Trauner, The GoodHaven Fund portfolio manager and Adam Parker, Morgan Stanley chief U.S. equity strategist.