Has the market factored in a near-term taper? Art Cashin of UBS, shares his economic forecast.» Read More
CNBC's Kayla Tausche reports on the sector trade including: utilities, doing the best this year with steady dividend payers and several companies hitting all time highs.
Positive U.S. economic data offset continued euro zone woes, but will fear or fundamentals rule the markets in the new year? Analyzing strategies for playing the current market, with Kevin Mahn, Hennion & Walsh Asset Mgmt. president/CEO and Doug Cote, ING Investment Mgmt. chief market strategist.
Analyzing multiple trends and factors that are impacting the markets, with Paul Hickey, Bespoke Investment Group.
Taking a look at where the technical indicators show the market is likely headed in 2012, with Scott Redler, T3 Trading chief strategic officer.
CNBC's Bob Pisani and Rick Santelli analyze how home builder stocks and materials are impacting the stock market.
Sharing perspect on what the charts indicate for 2012, with Dan Fitzpatrick, Stockmarket Mentor president.
A look at what the charts indicate for gold, the .SPX, and the Russell 2K next year, with Jeff Weiss, Tejas Securities Group chief technical analyst.
Riding the markets into the new year, CNBC guests weigh in on where the market stands.
Financials are taking a hit today on worries the euro zone will continue to weigh on the euro. Sharing perspective on the economy moving into 2012, with Tim Courtney, Burns Advisory Group and David Smith, Rockland Trust.
Since Iran's threat to close the Strait of Hormuz, investors are watching oil stocks. Discussing how the charts can guide investments and where oil prices could be headed, with Greg Troccoli, The Chart Lab founder and John Kilduff, Again Capital.
Hong Kong’s Hang Seng Index retains its volatility, but remains in a strong downtrend. A retest of the 2008 lows cannot be excluded.
According to experts, the bumpy markets of 2011 will continue right into 2012. Brian Jacobsen, Wells Fargo Funds Mgmt. Group and Chris Blum, JPMorgan Asset Mgmt. weigh in. "Volatility will remain high, but it offers a buying opportunity," says Blum.
Jordan Kotick, Barclay's Capital takes a technical look at the charts to see where the market is headed.
Utility stocks are up double digits vs. the S&P 500, this year. Charting the fundamental and technical side of the space and the outlook for 2012, with Richard Ross, Auerbach Grayson, and Nick Colas, Convergex Group.
Lots of positive data in the housing market and a recent run in housing stocks could inspire investors to join the sector. Is it too late? JC O'Hara, Phoenix Partners Group, and Joe Lavorga, Deutsche Bank, discuss.
Mad Money's Cramer eyes the charts and plots a technical case against high-flying, high-growth momentum stocks, like Baidu, Chipotle, and Deckers, which could be in for a hard landing, according to the charts as interpreted by John Roque, WJB Capital.
Is Oracle a 'buy' ahead of the company's earnings release? Looking at the charts for a lead, with Abigail Doolittle, Peak Theories Research and Karl Keirstead, BMO Capital Markets.
Investors are awaiting Nike to report earnings tomorrow. Is Nike a 'buy' ahead of the report? Carter Worth, Oppenheimer chief market technician and Robert Samuels, WJB Capital Group retail analyst weigh in.
Is the huge drop in commodities driven by fear or fundamentals? Michael Dudas, Sterne Agee precious metals & mining analyst, and John Kilduff, Again Capital, weigh in with the trade.